Abuzayed, B., Al-Fayoumi, N., Bouri, E., (2022). Hedging UK stock portfolios with gold and oil: The impact of Brexit. Resources Policy 75, 102434
Abuzayed, B., Bouri, E., Al-Fayoumi, N., Jalkh, N., (2021). Systemic risk spillover across global and country stock markets during the COVID-19 pandemic. Economic Analysis and Policy 71, 180-197.
Basha, S., Elgammal, M., Abuzayed B., (2021). Online Peer-To-Peer Lending: A Review of the Literature. Electronic Commerce Research and Applications, 101069.
Abuzayed, B., Al-Fayoumi, N., (2021). Risk spillover from crude oil prices to GCC stock market returns: New evidence during the COVID-19 outbreak. The North American Journal of Economics and Finance, 101476
Abuzayed, B., Alfayoumi, N., Bouri, E., (2020). Co-movement across European stock and real estate markets. International Review of Economics and Finance, 69, 189-208.
Alfayoumi, N., Abuzayed, B., Arabiyat, T. (2019). The banking sector, stress and financial crisis: symmetric and asymmetric analysis. Applied Economics Letters, 26(19), 1603-1611.
Abuzayed, B., Alfayoumi, N., Molyneux, P. (2018). Diversification and Bank Stability in the GCC. Journal of International Financial Markets, Institutions and Money, 57, 17-43.
Abuzayed, B., Alfayoumi, N., Arabiyat, T. (2018). Does Investors’ Fear Gauge in a Mature Market Matter? Evidence from MENA Region. The Journal of Wealth Management, 21(1), 71-87.
Abuzayed, B., Alfayoumi, N., Charfeddine, L. (2018). Long-range dependence in an emerging stock market’s sectors: volatility modelling and VaR forecasting. Applied Economics, 50(23), 2569–2599.
Abuzayed, B., Alfayoumi, N., (2017). Are Investors concerned with Stock markets Upgrades? Evidence from Multivariate Analysis. Emerging Markets Finance and Trade, 53(10), 2242-2258.
Abuzayed, B., Alfayoumi, N., (2016). Bank Concentration, Institutional Quality, and Economic Growth: Empirical Evidence from MENA Countries. Review of International Business and Strategy, 26(2), 219-231.
Alfayoumi, N., Abuzayed, B. (2014). Does openness enhance financial sector development? The experience of the Arab world. EuroMed Journal of Business, 9(3), 318-332.
Abuzayed, B., (2013). Sport and Emerging Capital Markets: Market Reaction to the 2022 World Cup Announcement. International Journal of Islamic and Middle Eastern Finance and Management, 6, 122-141.
Abuzayed, B., Alfayoumi, N., Gharaibeh, H. (2012). Competition in MENA Countries Banking Markets, International Journal of Financial Services Management. 5, 272-301.
Alfayoumi, N., Abuzayed, B., (2012). The Application of Quality Management in the Financial Services Sector in Jordan. Problems and Perspectives in Management, 10, 112-124.
Abuzayed, B., (2012). Working Capital Management and Firms’ Performance in Emerging Markets: The Case of Jordan. International Journal of Managerial Finance, 8, 155-179.
Alfayoumi, N., Abuzayed, B., (2011). The Determinants of Capital Flight: Evidence from MENA Countries. International Business & Economics Research Journal, 11, 1-10.
Alfayoumi, N., Abuzayed, B., (2010). Ownership Structure and Earnings Management in Emerging Markets: The Case of Jordan. International Research Journal of Finance and Economics 38:1450-2887(8), 27-47.
Abuzayed, B., Molyneux, P., Alfayoumi, N., (2009). Market value, book value and earnings: is bank efficiency a missing link? Managerial Finance, 35, 156-179.
Alfayoumi, N., Abuzayed, B., (2009). Assessment of the Jordanian Banking Sector within the context of GATS Agreement. Banks and Bank Systems, 4, 69-79.