Global Journal of Economics and Business

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This study aims to shed light on Arab securities markets by assessing their activitiy level and their performance during the period (2009-2015), relying on a set of indicators of size and liquidity approved in this field and adopting the descriptive analytical approach. The study concluded that Arab ...

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The study focused on knowing the real reasons behind the lack of development of stock markets in the GCC, and its inability to attract foreign investments, as well as the lack of openness to the Arab and foreign financial markets, and the adoption of a system of financial disclosure , and exchange issues ...

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Investigating Stochastic Volatility during Periods of Financial Distress: Evidence from International Financial Markets

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Capturing the dynamic properties of financial market volatility has always been very auspicious in asset pricing. The mean reverting properties of financial markets are of paramount importance for investment decision makers with far reaching implications. The purpose of this study was to investigate ...

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Random Movement of Iraqi Stock Returns Compared to Kuwaiti and Jordanian Stock Returns for the Period (2022-2024)

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Objectives: The study aims to find out whether the daily returns of the general indicator in both the Iraq Stock Exchange (ISX60), the Kuwait Stock Exchange index (BK50) and the Amman Stock Exchange indicator (ASE General) move randomly and independently during the study period from January 1, 2022 to ...

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