Dynamic spillovers between oil and stock markets in the Gulf Cooperation Council Countries B Awartani, AI Maghyereh Energy Economics 36, 28-42, 2013 | 416 | 2013 |
The directional volatility connectedness between crude oil and equity markets: New evidence from implied volatility indexes AI Maghyereh, B Awartani, E Bouri Energy Economics 57, 78-93, 2016 | 413 | 2016 |
Oil price shocks and emerging stock markets: A generalized VAR approach A Maghyereh Global stock markets and portfolio management, 55-68, 2006 | 364 | 2006 |
The determinants of stock market development in the Middle‐Eastern and North African region S Ben Naceur, S Ghazouani, M Omran, A Maghyereh Managerial Finance 33 (7), 477-489, 2007 | 332 | 2007 |
Oil prices and stock markets in GCC countries: new evidence from nonlinear cointegration analysis A Maghyereh, A Al-Kandari Managerial Finance 33 (7), 449-460, 2007 | 264 | 2007 |
Institutions and corporate capital structure in the MENA region M Belkhir, A Maghyereh, B Awartani Emerging Markets Review 26, 99-129, 2016 | 184 | 2016 |
Causal relations among stock prices and macroeconomic variables in the small, open economy of Jordan AI Maghyereh Open Economy of Jordan, 2002 | 165 | 2002 |
Causal relations among stock prices and macroeconomic variables in the small, open economy of Jordan AI Maghyereh Open Economy of Jordan, 2002 | 164 | 2002 |
Volatility spillovers and cross-hedging between gold, oil and equities: Evidence from the Gulf Cooperation Council countries AI Maghyereh, B Awartani, P Tziogkidis Energy Economics 68, 440-453, 2017 | 152 | 2017 |
The co-movement between oil and clean energy stocks: A wavelet-based analysis of horizon associations AI Maghyereh, B Awartani, H Abdoh Energy 169, 895-913, 2019 | 148 | 2019 |
The relative risk performance of Islamic finance: a new guide to less risky investments HA Al-Zoubi, AI Maghyereh International journal of theoretical and applied finance 10 (02), 235-249, 2007 | 146 | 2007 |
Linking nuclear energy, human development and carbon emission in BRICS region: do external debt and financial globalization protect the environment? M Sadiq, R Shinwari, M Usman, I Ozturk, AI Maghyereh Nuclear Engineering and Technology 54 (9), 3299-3309, 2022 | 140 | 2022 |
Empirical testing of the loss provisions of banks in the GCC region TA Zoubi, O Al-Khazali, A Maghyereh Managerial Finance 33 (7), 500-511, 2007 | 127 | 2007 |
Corporate debt maturity in the MENA region: does institutional quality matter? B Awartani, M Belkhir, S Boubaker, A Maghyereh International Review of Financial Analysis 46, 309-325, 2016 | 111 | 2016 |
Bank distress prediction: Empirical evidence from the Gulf Cooperation Council countries AI Maghyereh, B Awartani Research in International Business and Finance 30, 126-147, 2014 | 109 | 2014 |
The connectedness between crude oil and financial markets: Evidence from implied volatility indices B Awartani, M Aktham, G Cherif Journal of Commodity Markets 4 (1), 56-69, 2016 | 104 | 2016 |
Crude oil prices and sectoral stock returns in Jordan around the Arab uprisings of 2010 E Bouri, B Awartani, A Maghyereh Energy Economics 56, 205-214, 2016 | 103 | 2016 |
Connectedness and hedging between gold and Islamic securities: A new evidence from time-frequency domain approaches AI Maghyereh, H Abdoh, B Awartani Pacific-Basin Finance Journal 54, 13-28, 2019 | 98 | 2019 |
Dynamic transmissions between the US and equity markets in the MENA countries: New evidence from pre-and post-global financial crisis AI Maghyereh, B Awartani, K Al Hilu The Quarterly Review of Economics and Finance 56, 123-138, 2015 | 98 | 2015 |
Asymmetric effects of oil price uncertainty on corporate investment A Maghyereh, H Abdoh Energy Economics 86, 104622, 2020 | 97 | 2020 |