@incollection{, 646C27D8F26CCFBF53FCEEB0E35FD6C6 , author={{Dr. Ghazi Abdul MajeedAlrguibat} and {Al al-Bay University- Jordan}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}1455565 } @book{b0, , title={{international financial markets, the future House}} , author={{ Bakri }} , year={2002} , address={Amman, Jordan} } @book{b1, , title={{}} , author={{ HillJanabi }} , year={2005} , address={Mafraq, Jordan} , note={management of commercial banks and banking business, the first edition} } @book{b2, , title={{Financial management theory and practice}} , author={{ AdnanNaimi } and { Courier } and { Saadoun } and { Osama } and { MosesShukairy }} , year={2007} , address={Jordan, Oman, Dar Almaseera} } @book{b3, , title={{modern thought in Risk Management}} , author={{ MunirHindy } and { Ibrahim }} , year={2003} , address={Alexandria, Egypt} , note={facility knowledge, the first part} } @book{b4, , title={{}} , author={{ Steering }} , address={Mentouri University of Constantine,Algeria} } @book{b5, , title={{famous Barbour, analysis of revenue sources Jordanian commercial banks Empirical Study for the years}} , author={{ Hathloul }} , year={2003. 1980-2000m} Al al-Bayt University, Faculty of Economics and Administrative Sciences, Department of Banking and Finance , note={Master Thesis} } @book{b6, , author={{ GeorgeHHample } and { DonlandGSimonson } and { BAlan } and { Coleman }} , title={{Bank Management: Text & Cases, 4 th}} New York , publisher={John Wiley & Sons} , year={1994} } @book{b7, , title={{Banking & Financial Markets}} , author={{ MeirKohn } and { Money }} , year={1991} , publisher={Rinehort & Winston Pub} , address={Chicago, USA} } @book{b8, , title={{Management of Banking}} , author={{ ScottMacdonald } and { TimothWKoch }} , year={2006} , address={Courer Westford, MA, Sixth Edition} } @incollection{b9, , title={{On The Determinants of Interest Margin in Transition Banking: the Case of Serbia}} , author={{ SrdjanMarinkovic } and { RadovicOgnjen }} , journal={{Managerial Finance}} 36 , year={2010} } @book{b10, , title={{Is banking security responsible for tightening funding cost}} , author={{ AmiyatoshPurnanandam }} , year={August 3, 2004} University of Michigan -united states , note={51 working papers series} } @incollection{b11, , title={{University of Cambridge in its series, Cambridge working papers in Economics with number}} , author={{ RRitz }} , booktitle={{Paper provided by Faculity of Economics}} , year={2012} 1213 , note={How do Bank Respond to Increased Funding Uncertainty?} } @incollection{b12, , title={{Linear and Nonlinear Interest rate exposure in Spain}} , author={{ RomanFerrer } and { CristobalGonzalez } and { GloriaMSoto }} , journal={{Managerial Finance}} 36 , year={2010} } @book{b13, , title={{Money and Capital Marker. IRWIN. Sidney. Australia. 5 Edition}} , author={{ PetarSRose }} , year={1994} } @incollection{b14, , title={{Networth Exposure to Interest Rate Risk: An empirical Analysis of Indian Commercial Banks}} , author={{ AsishSaha } and { BasuSubramanian } and { &Sanjay } and { AlokMishra }} , journal={{European journal of operational Research}} 193 2 , year={2009} } @book{b15, , title={{Risk Management and Value Creation in Financial institutions}} , author={{ GerhardSchroeck }} , year={2002} , publisher={Wiley Finances, UAD} }