44 results on '"Hamid, Kashif"'
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2. International stock markets Integration and dynamics of volatility spillover between the USA and South Asian markets: evidence from Global financial crisis
3. Do Macroeconomic Factors are interlinked with Stock Markets in Asian Emerging Economies. A Panel Data Approach.
4. Casual and Dynamic Linkage Between Economic Growth and Green Financial Development in Pakistan.
5. Pre & Post-COVID Analysis of Calendar Anomaly and Behavior of Returns in Emerging Markets of ASIA
6. How do financial fragility and ICT penetration affect renewable energy consumption and green growth in top-polluting economies?
7. Tax Collection in Pakistan: Determinants and Impact on Economic Growth
8. Portfolio Performance of Islamic Versus Conventional Market Indices and Regime Shift Behavior: Empirical Evidence from Asian Emerging Markets
9. Regime Shift Behavior and Interconnectedness of Stock Market Volatility and Exchange Rate Movements: Empirical Evidence from Emerging and Developed Economies
10. Tax Collection in Pakistan: Determinants and Impact on Economic Growth
11. Evaluating the relationship of Customer and Supplier Involvement relating to Product characteristics on New Product Development by using Structural Equation Modeling
12. Investigating the impact of perceived crowding and various determinants on customers satisfaction: insights from family restaurants
13. Corporate Policy and Capital Structure Decisions: Empirical Evidence from Non- Financial Sectors of Pakistan
14. Impact of Oil and Gas Price Shocks on Banking Performance: Empirical Evidence from Pakistan.
15. Investigating the impact of perceived crowding and various determinants on customers satisfaction: insights from family restaurants
16. Abnormal Returns, Corporate Financial Policies and the Dynamics of Leverage: Empirical Evidence from Non-Financial Sector of Pakistan
17. Do US News and Volatility in Exchange Rate Exposure Matter (Empirical Evidence from Emerging Economies)
18. Emerging Markets and Volatility Spillover Effects: Empirical Evidence from Regional Emerging Economies of Pakistan, China, India, and Bangladesh
19. Causal and Dynamic Link Between the Banking Sector and Economic Growth in Pakistan
20. Stock Returns and Asymmetric Volatility Spillover Dynamics Between Asian Emerging Markets.
21. Islamic Calendar Anomaly and Market Return Behavior: Empirical Evidence from Eight Islamic Economies
22. MARKET EFFICIENCY, FINANCIAL INTEGRATION, AND SHOCK TRANSMISSION (EMPIRICAL EVIDENCE FROM D-8 ECONOMIES)
23. Stock Returns and Asymmetric Volatility Spillover Dynamics Between Asian Emerging Markets
24. Testing of Volatility Spillovers Dynamics and Network Connectedness between Islamic Indices of Regional Stock Markets
25. Impact of Financial Signaling and Information Asymmetries of Macroeconomic Covariates and Debt vs. Equity
26. Volatility of Regional Sharia Compliance Returns and US News Impact
27. The dynamics of international equity markets in Asia, Europe and America in term of economic globalization
28. Volatility modeling and asset pricing: Extension of GARCH model with macro economic variables, value-at- risk and semi-variance for KSE
29. Comparative Analysis of Consumer‘s Impulse Buying Behavior with Different Household Incomes : Empirical Evidence from Faisalabad
30. Petroleum geology of Loralai Formation in western Sulaiman Range
31. Environment friendly usage of Rice Husk Ash for subgrade soil stabilization
32. Modeling Leverage Dynamics and Corporate Financial Policies (Empirical Evidence from Industrial Sector of Pakistan)
33. Data Envelopment Analysis and Tobit Analysis for Firm Efficiency in Perspective of Working Capital Management in Manufacturing Sector of Pakistan
34. Market Conditions Asymmetries and Asset Pricing: An Information Asymmetry Perspective of Volatility Modeling in Pakistan
35. Sensitivity Analysis of Macroeconomic Forces and Sectoral Returns: Evidence from Energy and Textile Sectors of Pakistan
36. Volatility Spillover Effects across Emerging Equity Markets of Pakistan, India, China and Bangladesh: A Multivariate GARCH-BEKK and CCC Approach
37. Association of Mutual Fund Risk Measures and Return Parameters: (A Juxtapose of Ranking for Performance in Pakistan)
38. Volatility Forecasting and Effects of Asymmetric Patterns in Emerging Markets of Asia
39. Comparative Analysis of Technical Efficiency for Islamic versus Conventional Banks and Its Determinants in Pakistan
40. Factors Effecting Systematic Risk in Isolation vs. Pooled Estimation: Empirical Evidence from Banking, Insurance, and Non-Financial Sectors of Pakistan
41. A Study of University Students’ Motivation and Its Relationship with Their Academic Performance
42. Geochemical evaluation of limestone deposits of Pakistan.
43. Geochemical evaluation of Kathwai area coals, District Khoushab.
44. Microfacies and diagenetic framework of the Loralai Formation, Khader Zai Nala section, western Sulaiman Range, Pakistan.
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