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Original Articles

Market Liquidity and Strategic Asset Allocation: Applications to GCC Stock Exchanges

Pages 227-254 | Received 09 Dec 2008, Published online: 12 Feb 2014

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Articles from other publishers (7)

Mazin A. M. Al Janabi. 2020. Impact of Financial Technology (FinTech) on Islamic Finance and Financial Stability. Impact of Financial Technology (FinTech) on Islamic Finance and Financial Stability 98 127 .
Chaker Aloui & Hela ben Hamida. (2014) Modelling and forecasting value at risk and expected shortfall for GCC stock markets: Do long memory, structural breaks, asymmetry, and fat-tails matter?. The North American Journal of Economics and Finance 29, pages 349-380.
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Mazin A.M. Al Janabi. 2014. Emerging Markets and the Global Economy. Emerging Markets and the Global Economy 413 446 .
Mazin A. M. Al Janabi. 2013. Financial Integration. Financial Integration 139 155 .
Mazin A.M. Al Janabi. (2011) Modeling coherent trading risk parameters under illiquid market perspective. Studies in Economics and Finance 28:4, pages 301-320.
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Mazin A. M. Al Janabi. (2011) Economic Capital Allocation under Coherent Market Liquidity Constraints. Journal of Economic Research (JER) 16:2, pages 147-186.
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Mazin A. M. Al Janabi. (2010) Evaluation of Optimal and Coherent Risk-Capital Structures Under Adverse Market Outlooks. SSRN Electronic Journal.
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