Curriculum Vita

Dr: Izz Eddien Naif Ananzeh

PERSONAL DATA:

EDUCATION:

Ph.D. in Financial Management (OCT 2006): Arab Academy for

Banking and Financial Sciences

Thesis Title:

"Price- Related Anomalies and Predictability of Stock Returns:

Case of Emerging Markets".

Supervisors:

♦ Dr / Samer A. AL-Rjoub (Associated Professor of Finance,

Hashemite University).

♦ Prof.Dr/ Hesham Gharaibeh, (Professor of Finance, Yarmouk

University)

M.Sc. Degree in Financial Management (2001): Arab Academy

for Banking and Financial Sciences

B.Sc. Degree in Banking and Financial Sciences (1988): Yarmouk

University.

AREAS OF INTEREST:

Working: Associated professor, Investment Manager.

Teaching: Financial Management, Financial analysis, Investment

Management, Risk Management, Corporate Finance, Economic

Feasibility Studies, Financial Derivatives, Insurance Management

Research: Investment, Asset pricing models, Simulation-Based

Econometric Methods.

WORK EXPERIENCES:

Chairman of Banking and Finance Sciences Department (2022-presemt)

Faculty of Business, Philadelphia University, Jordan.

Associated professor (Nov 2017-present). Faculty of Business,

Philadelphia University, Jordan.

Assistant professor in Philadelphia University from 2/9/2009 to

15/11/2017.

Investment section chief in the Defense Resources and Investment

Management Commission from 10/2007- 7/2009. (This commission

established in the Jordan in 2006, concerned in initiating

partnership with private sector, managing it, and follow up every thing

related to these companies like analyzing of financial reports, conducting

feasibility studies…etc)

PUBLICATIONS:

  1. Dividend Yields Predictability of Stock Returns: Case of Emerging

Markets", Arab Journal of Administrative Sciences, Al Kuwait University, Vol.17 No 2(2010).

  1. Beta Wins Again: Case of four Emerging Markets", Journal of Economic Cooperation and Development, Vol.31 No.1(2010) Turkey .

  1. Evaluation the Relationship between Risk and Return in Amman

Stock Exchange, Managerial Studies Journal, Vol.5 No.9(2012).

  1. Factors Effecting Trading Volume: A Test of Mixed Distribution Hypothesis, International Journal of Financial Research Vol. 6, No. 4; 2015.

  1. Developing An Early Warning System For Currency Crises: The Case Of Jordan, Management Science and Engineering, Vol. 8, No.1,March 20 ,2014.

  1. Growth, Poverty, and Inequality in Algeria During 1980-2010, Management Science and Engineering, No 8 No.1.2014.

  1. The Relationship between Inflation and its Uncertainty: Evidence from Jordan, International Journal of Economics and Financial Issues, 2015, 5(4), 929-932.

  1. Weak Form Efficiency of the Amman Stock Exchange An Empirical Analysis (2000 2013), International Journal of Business and Management, Vol 10, No 11 (2015).

  1. The Causal Relationship among Foreign Direct Investment, Domestic Saving and Economic Growth in Jordan during the Period (19752013), International Journal of Business and Management; Vol. 10, No. 1; 2015.

  1. Examining the Dynamics Relationship between Gold, Oil prices and Stock Markets: Experience from Jordan Economy, European Journal of Business and Management Vol.8, No.27, 2016.

  1. Analyzing the Dynamic Relationship between Budget Deficit, Inflation, and Interest Rate (A Case from Jordan), European Journal of Business and Management Vol.8, No.29, 2016.

  1. Analyzing the Effect of Financial Development on Economic Growth -The Jordanian Experience, Investment Management and Financial Innovations, Volume 16, Issue 1, 2019.

  1. العلاقه ما بين متغيرات الاقتصاد الكلي وعوائد مؤشر سوق عمان المالي، المجله العربيه للاداره ، العدد الثاني ، المجلد 37 لعام (2017).

  1. التورق المصرفي بين المجيزين والممانعين. مجلة البحوث والدراسات الشرعيه , جامعة الازهر عدد, 2014,22

  1. تقدير التذبذب في عوائد مؤشرات أسواق المال في دول الشرق الأوسط والخليج العربي باستخدام منهجية عدم ثبات التباين المشروط بالارتباط المتسلسل، المجله العربيه للاداره، المجلد 37 العدد الرابع لعام (2017).
  2. تقييم مدى كفاءة إدارة مخاطر الائتمان في البنوك الإسلامية الأردنية،دراسات اداريه المجلد 6 ،العدد 22، 2014.

BOOKS

  1. المشتقات وادارة المخاطر الماليه ، 2018، دار الفكر ناشرون وموزعون
  2. دراسات الجدوى التطبيقيه ، تحت الطباعه

CONFERENCES PAPER:

  1. Examine and Test the Efficiency of Credit Risk Management in Islamic Banks and How These Efficiency Reflected in the Process of Initiating and Efficiency of Credit Portfolios.” 7th International Scientific Cnoferece Contemporary Business Organizations from an Eslamic Perspective, Philadelphia University, Jordan 2010. ‌

REVIEW WORK:

  1. The Market Value of Firms in South East Asia: A Switching Regression Approach or "Are the Bulls and the Bears Cousins?" Journal of Applied Economics, UK.
  2. Pricing guarantee fee in loan guarantee schemes: combining Risk-neutral model with actuarial pricing theory, Journal of Applied Economics, UK.
  3. A Note on Return Predictability and Price Bubbles, Journal of Applied Economics, UK.
  4. A Study of the Relationship between Religion and Development: Evidence from the microfinance industry of Bangladesh, University of Sharjah Journal for Humanities Social Sciences.
  5. التحولات نحو تطبيق الصيرفة الاسلامية واثرها على توظيف الاستثمار(دراسة تطبيقية مقارنة على مصرف فيصل الاسلامي السوداني- مصرف دبي الاسلامي الاماراتي، مـجـــــــلة جــــــامـعـة الــشــــــــارقـة للعـــلــوم الإنــــسانية والاجتماعية.
  6. دور الأدوات المالية الإسلامية في تفعيل نشاط أسواق رأس المال في الدول العربية والإسلامية، مـجـــــــلة جــــــامـعـة الــشــــــــارقـة للعـــلــوم الإنــــسانية والاجتماعية.

Training Certificates:

FinTech: Foundations, Payments, and Regulations, an online course

authorized by University of Pennsylvania and offered through Coursera

MEMPERSHIP

Union of Arab Trainers

COMPUTER SKILL:

Software: E-VIEWS, SPSS,