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Khaldoun M. Al-Qaisi
Khaldoun M. Al-Qaisi
Associate Professor of finance, Zarqa University
Verified email at zu.edu.jo
Title
Cited by
Cited by
Year
The economic determinants of systematic risk in the Jordanian capital market
KM Al-Qaisi
International Journal of Business and Social Science 2 (20), 2011
482011
İnterdisciplinary journal of contemporary research in business
SN Badshah, H Hifazatullah, H Farooq, MI Khan
IJCRB, 2011
27*2011
INTERDISCIPLINARY JOURNAL OF CONTEMPORARY RESEARCH IN BUSINESS
KM Al-Qaisi
Amman Arab University, Jordan, 2013
21*2013
İnterdisciplinary journal of contemporary research in business
SN Badshah, H Hifazatullah, H Farooq, MI Khan
IJCRB, 2011
18*2011
The Capital Structure Choice of Listed Firms on Two Stock Markets and One Country
K Al-Qaisi
The Business Review, Cambridge 16 (2), 2010
132010
The effect of the financial crisis on the Jordanian industrial sector
K Al-Qaisi
International Journal of Finance & Banking Studies (2147-4486) 2 (1), 43-47, 2013
112013
Foreign direct investment and its literature review
KM Al-Qaisi
Journal of Reviews on Global Economics 6 (1), 105-112, 2017
102017
The determinants of capital structure: Palestinian case (2003-2007)
K Al-Qaisi, MF Shubita
Interdisciplinary Journal of Contemporary Research in Business 4 (12), 385-398, 2013
82013
Dividend policy at the Amman stock exchange: The stability issue during 1995-2005
K Al-Qaisi, G Omet
Dirasat, Administrative Sciences 37 (1), 229-236, 2010
82010
A literature review on the competition in the banking sector
KM Al-Qaisi
International Journal of Academic Research in Accounting, Finance and …, 2018
42018
Financial leasing in the Mena region: Analysis of the institutional and legal aspects
KM Al-Qaisi
International Journal of Academic Research in Accounting, Finance and …, 2018
42018
Income smoothening practicing effect on abnormal returns and market value
MK Al-Qaisi
International Research Journal of Finance and Economics 79, 120-127, 2011
42011
Predicting the profit per share using financial ratios
KM Al-Qaisi
Asian Journal of Finance & Accounting 3 (1), 162-163, 2011
32011
AWARENESS OF OPERATIONAL RISK MANAGEMENT PROCEDURES IN ISLAMIC BANKS
KM Al-Qaisi
International Journal of Business society 2 (3), 24-32, 2018
22018
Corporate Systematic Risk and Capital Assets Pricing Model Analysis: Evidence from Istanbul Stock Exchange
KM Al-Qaisi
22018
Credit Default Swap and Liquidity
KM Al-Qaisi, RMS Al-Batayneh
International Journal of Economics and Financial Issues 7 (2), 697-700, 2017
22017
Banking competition and efficiency in Jordan: A note
K Al-Qaisi
International Journal of Banking and Finance 9 (2), 77-88, 2012
22012
Risk Factors in Financial Services Industry: Application, Threats, Theoretical and Empirical literature in Management of Risk
KM Al, RM Al
International Journal of Economics and Financial Issues 8 (2), 210, 2018
12018
Estimation of an International Capital Asset Pricing Model with Dividends and Government Bonds
KM Al-Qaisi
European Journal of Economics, Finance and Administrative Sciences, 33, 2012
12012
THE PERFORMANCE AND OWNERSHIP STRUCTURE OF ISLAMIC BANKS, EMPIRICAL EVIDENCE FROM MULTIREGIONAL, THROUGHOUT THE LAST GLOBAL FINANCIAL CRISIS
KM Al-Qaisi
Journal of Management Information and Decision Sciences (Print ISSN: 1524 …, 2022
2022
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