40 results on '"Syed, Aamir Aijaz"'
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2. The moderating role of governance, banking regulation, and supervision on shadow economy, financial inclusion, and financial stability nexus: a case of G5 economies
3. Assessing the Role of the Fintech Era on the Banking Stability of an Emerging Economy: Interaction Analysis of the Indian Banking Industry
4. Does Economic Uncertainty Obstruct the Financial Inclusion Projects of the Central Bank of India
5. Economic policy uncertainty and Indian banking stability: the mediating role of regulation and supervision
6. Does economic policy uncertainty impedes financial inclusion in BRICS economies: the mediating role of quality of governance
7. Impact of financial inclusion on economic growth in secular and religious countries
8. Do Digital Financial Services Influence Banking Stability and Efficiency: An ARDL Analysis of a Developed and a Developing Economy
9. Impact of COVID-19 and economic policy uncertainty on China’s stock market returns: evidence from quantile-on-quantile and causality-in-quantiles approaches
10. The impact of crude oil prices on Chinese stock markets and selected sectors: evidence from the VAR-DCC-GARCH model
11. Symmetric and Asymmetric Influence of Macroeconomic Variables on Stock Prices Movement: Study of Indian Stock Market
12. Determinants of Nonperforming Loans: A Review of Empirical Evidence
13. Psychological, social and economic impact of COVID 19 on the working population of India: Exploratory factor analysis approach
14. An empirical investigation of nuclear energy and environmental pollution nexus in India: fresh evidence using NARDL approach
15. Do cryptocurrency and commodities markets affect stock market performance in South Asia An empirical investigation during the COVID-19 pandemic
16. Competitiveness Analysis of Pakistan’s Cotton Yarn Exports Relative to India and USA: A Demand System Application with Focuses on China’s Market
17. Symmetric and Asymmetric Influence of Macroeconomic Variables on Stock Prices Movement: Study of Indian Stock Market
18. Determinants of Nonperforming Loans: A Review of Empirical Evidence
19. Economic policy uncertainty and Indian banking stability: the mediating role of regulation and supervision
20. Impact of COVID-19 and lockdown stringency on foreign institutional investment in India: evidence from wavelet coherence and spectral causality approaches
21. Tourism, transport energy consumption, and the carbon dioxide emission nexus for the USA: Evidence from wavelet coherence and spectral causality approaches.
22. Does the problem of non-performing loans differ in a religious and a secular economy? An investigation of the nexus between financial sector development, institutional variables and non-performing loans
23. Impact of Financial Inclusion on Economic Growth in Secular and Religious Countries
24. The Impact of Financial Development and Macroeconomic Fundamentals on Nonperforming Loans among Emerging Countries: An Assessment Using the NARDL Approach
25. Impact of COVID-19 and economic policy uncertainty on China’s stock market returns: evidence from quantile-on-quantile and causality-in-quantiles approaches
26. Do shadow economy, institutional regulatory framework, government stability, and corruption affect non‐performing banking loans in emerging market economies: A dynamic common correlated effect (DCCE) approach
27. Does the Economic Policy Uncertainty in the USA and China Affect Indian Stock Markets Symmetrically and Asymmetrically? An Empirical Analysis of Pre- and Post-Coronavirus Disease 2019 Timelines
28. Assessing if Challenge Stressors Work as a Source of Motivation Among the Employees in the Indian Banking Industry
29. An Asymmetric Analysis of the Influence That Economic Policy Uncertainty, Institutional Quality, and Corruption Level Have on India’s Digital Banking Services and Banking Stability
30. Is There an Asymmetric Relationship between Economic Policy Uncertainty, Cryptocurrencies, and Global Green Bonds? Evidence from the United States of America
31. Investigating the Impact of the First and Second Waves of the COVID - 19 Pandemic on the Indian Stock and Commodity Markets : An ARDL Analysis of Gold, Oil, and Stock Market Prices
32. Assessing the Role of Digital Finance on Shadow Economy and Financial Instability: An Empirical Analysis of Selected South Asian Countries
33. Assessing the impact of banking efficiency, operations, and regulation on banking performance: Fresh insight using dynamic correlated framework on the data set of Russia and Ukraine
34. Financial sector development and credit risk: an insight of BRICS countries using continuously updated fully modified and continuously updated bias corrected methods
35. Assessing the Impact of COVID-19 Pandemic on the Stock and Commodity Markets Performance and Sustainability: A Comparative Analysis of South Asian Countries
36. Assessing the impact of banking efficiency, operations, and regulation on banking performance: Fresh insight using dynamic correlated framework on the data set of Russia and Ukraine
37. Does Banking Efficiency, Regulation, and Operations Affect Banking Performance in South Asia: Dynamic Correlated Model Approach
38. Macroeconomic Vulnerabilities and their Effect on Nonperforming Loans in Indian Commercial Banks
39. Non - Performing Loans in BRICS Nations : Determinants and Macroeconomic Impact
40. The Asymmetric Relationship Between Military Expenditure, Economic Growth and Industrial Productivity: An Empirical Analysis of India, China and Pakistan Via the NARDL Approach.
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