د. محمد العمري
د. محمد العمري
سيرة شخصية
محمّد العمري أستاذ مساعد في تمويل الأعمال في الكلّيّة. بعد تخرُّجه من جامعة اليرموك عام 2008، حصل بعد ذلك على درجة الماجستير من جامعة ويسترن سيدني عام 2009.
ثم عمل خبيراً اقتصاديّاً مبتدئاً في مشروع الإصلاح الماليّ مع الوكالة الأمريكيّة للتّنمية الدّوليّة.
حصل على درجة الدّكتوراة من جامعة دندي في عام 2015.
تم تعيينه رئيساً لقسم المحاسبة الدّوليّة في عام 2016
الخلفية التعليمية
Accounting and Finance, University of Dundee, UK, 2015
Applied Finance, University of Western Sydney, Australia, 2009
Business and Financial Economics, Yarmouk University, Jordan, 2008
Accounting and Finance, University of Dundee, UK, 2012
Applied Finance, University of Western Sydney, Australia, 2009
Business and Financial Economics, Yarmouk University, Jordan, 2008
Accounting and Finance, University of Dundee, UK, 2012
الاهتمامات البحثية
- Financial Economics/Econometrics
- Market Efficiency
- Return and Risk Modeling
- Financial Markets
- Behavioral Finance
- Asset Pricing
الخبرات
منشورات مختارة
| 2023 | Hanif, W.,, Mensi, W.,, Alomari, M.,, Andraz, JM.,,"Downside and upside risk spillovers between precious metals and currency markets: Evidence from before and during the COVID-19 crisis ",Volume 81, 103350,,2023 [View] |
| 2023 | Mensi, W., Alomari, M., Vinh Vo, X., Hoon Kang, S., ,"“Extreme quantile spillovers and connectedness between oil and Chinese sector markets: A portfolio hedging analysis”. ",The Journal of Economic Asymmetries., Volume 28, e00327,. ,2023 [View] |
| 2022 | Alomari, M., and Alrababa’a, A., Rehman. MU., Power, D,"Infectious diseases tracking and sectoral stock market returns: A quantile regression analysis”. ",North American Journal of Economics and Finance,Volume. 59, 101584,2022 [View] |
| 2022 | Alrababa’a, A.,, Alomari, M.,, Hendawi, R.,, McMillan, M.,,"Multiscale relationship between economic policy uncertainty and sectoral returns: Implications for portfolio management",Research i International Business and Finance. Volume 61, 101664,,2022 [View] |
| 2022 | Ahmad Alkhataybeh, Mobeen Ur Rehman, Ghaith El-Nader, Abedalrazaq Alrababa’a, Mohammad Alomari,"Does COVID-19 drive the US corporate-government bonds yield correlations? Local and global reporting. Investment Management and Financial Innovations",19(3), 243-255. ,2022 [View] |
| 2022 | Mensi, W.,, Al Rababa'a, A.,, Alomari, M.,, Vinh Vo, X.,, Hoon Kang, S.,,"Dynamic frequency volatility spillovers and connectedness between strategic commodity and stock markets: US-based sectoral analysis”.",Volume 79,102976,2022 [View] |
| 2022 | Alomari, M.,, Mensi, W.,, Vinh Vo, X.,, Hoon Kang, S.,,"Extreme return spillovers and connectedness between crude oil and precious metals futures markets: Implications for portfolio management",Volume 79, 103113,,2022 [View] |
| 2021 | Abu-Alkheil, A., Alomari. M., and Set-Abouha, B,"The Effect of Financial Leverage on Banks' Performance: Empirical Evidence from a Frontier Market – the Amman Stock Exchange",Afro-Asian Journal of Finance and Accounting,Volume 11, Issue 2, pp 198-221,2021 [View] |
| 2021 | Alomari, M., Alrababa’a, A., El-Nader, G., Alkhataybeh, A.,"Who’s behind the wheel? The role of social and media news in driving the stock–bond correlation",Review of Quantitative Finance and Accounting,57, pp 959–1007,2021 [View] |
| 2021 | Alrababa’a, A., Alomari, M., McMillan, D.,"Multiscale stock-bond correlation: Implications for portfolio diversification and risk management",Research in International Business and Finance,Volume 58, 101435 ,2021 [View] |
| 2021 | Alomari, M., Alrababa’a, A., El-Nader, G., Alkhataybeh, A., Rehman, MU. ,"Examining the Effects of News and Media Sentiments on Volatility and Correlation: Evidence from the UK",The Quarterly Review of Economics and Finance,Volume. 82, pp. 282–297,2021 [View] |
| 2018 | Alomari, M., Power, D.M. & Tantisantiwong, N.,"Determinants of equity return correlations: a case study of the Amman Stock Exchange. ",2018 [View] |
| 2017 | AlOmari, M., Power, D. and Tantisantiwong, N. ,"The Determinants of Asset Correlation in the Amman Stock Exchange",Review of Quantitative Finance and Accounting,forthcoming,2017 |
