The impact of financial risk on stock returns in the Jordanian commercial banks during the period (2007-2016)
This study aimed at measuring the impact of financial risks represented by (liquidity risk, credit risk and solvency risk) on the stocks return of Jordanian commercial banks. The study was conducted on the Jordanian banking sector consisting of thirteen Jordanian commercial banks during the period...
Saved in:
Main Authors: | Alaa A Abu Aleem, Mohamed Zaoui, Jum’a M Abbad |
---|---|
Format: | Article |
Language: | Arabic |
Published: |
University of Tamanrasset
2023-05-01
|
Series: | مجلة الاجتهاد للدراسات القانونية والاقتصادية |
Subjects: | |
Online Access: | https://alijtihed.univ-tam.dz/article/view/104 |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Water Risk and Mining Firms’ Stock Return
by: Maryam Davallou, et al.
Published: (2024-06-01) -
Optimizing Risk-based Stock Return Prediction in Tehran Stock Exchange industries: A Data Envelopment Analysis
by: Hamidreza Akhbari, et al.
Published: (2024-06-01) -
Volatility dynamics of stock returns, liquidity and exchange rates in ASEAN Countries
by: David Umoru, et al.
Published: (2025-01-01) -
Analyzing the Influence of Company's Business Strategy and Its Components as a Factor of Information Risk on Excess Stock Returns
by: Alireza Rahrovi Dastjerdi, et al.
Published: (2024-12-01) -
Credit Risk Management Practices and Loan Performance of Commercial Banks in Uganda
by: Francis, Agaba, et al.
Published: (2022)