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Nawazish Mirza
Nawazish Mirza
Professor - Excelia Business School
Email verificata su excelia-group.com - Home page
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The nexus of carbon emissions, financial development, renewable energy consumption, and technological innovation: what should be the priorities in light of COP 21 Agreements?
R Wang, N Mirza, DG Vasbieva, Q Abbas, D Xiong
Journal of Environmental Management 271, 111027, 2020
2162020
Price reaction, volatility timing and funds’ performance during Covid-19
N Mirza, B Naqvi, B Rahat, SKA Rizvi
Finance Research Letters 36, 101657, 2020
2012020
Human capital efficiency and equity funds’ performance during the COVID-19 pandemic
L Yarovaya, N Mirza, J Abaidi, A Hasnaoui
International Review of Economics & Finance 71, 584-591, 2021
1542021
Covid-19 and asset management in EU: A preliminary assessment of performance and investment styles
SKA Rizvi, N Mirza, B Naqvi, B Rahat
Journal of Asset Management 21, 281-291, 2020
1542020
Impact of Covid-19 on corporate solvency and possible policy responses in the EU
N Mirza, B Rahat, B Naqvi, SKA Rizvi
The Quarterly Review of Economics and Finance, 2020
1472020
Carbon neutrality, bank lending, and credit risk: Evidence from the Eurozone
M Umar, X Ji, N Mirza, B Naqvi
Journal of Environmental Management 296, 113156, 2021
1462021
The impact of resource curse on banking efficiency: Evidence from twelve oil producing countries
M Umar, X Ji, N Mirza, B Rahat
Resources Policy 72, 102080, 2021
1422021
The impact of carbon neutrality on the investment performance: Evidence from the equity mutual funds in BRICS
X Ji, Y Zhang, N Mirza, M Umar, SKA Rizvi
Journal of Environmental Management 297, 113228, 2021
1362021
The impact of human capital efficiency on Latin American mutual funds during Covid-19 outbreak
N Mirza, JA Hasnaoui, B Naqvi, SKA Rizvi
Swiss Journal of Economics and Statistics 156 (1), 1-7, 2020
1102020
Is there a green fund premium? Evidence from twenty seven emerging markets
B Naqvi, N Mirza, SKA Rizvi, M Porada-Rochoń, R Itani
Global Finance Journal 50, 100656, 2021
1002021
Quantifying the hedge and safe-haven properties of bond markets for cryptocurrency indices
S Karim, MA Naeem, N Mirza, J Paule-Vianez
The Journal of Risk Finance, 2022
812022
Sustainable energy goals and investment premium: Evidence from renewable and conventional equity mutual funds in the Euro zone
X Ji, X Chen, N Mirza, M Umar
Resources Policy 74, 102387, 2021
752021
Does institutional quality and remittances inflow crowd-in private investment to avoid Dutch Disease? A case for emerging seven (E7) economies
CW Su, T Sun, S Ahmad, N Mirza
Resources Policy 72, 102111, 2021
722021
Comparative risk adjusted performance of Islamic, socially responsible and conventional funds: Evidence from United Kingdom
K Reddy, N Mirza, B Naqvi, M Fu
Economic Modelling 66, 233-243, 2017
712017
Size and Value Premium in Karachi Stock Exchange.
N Mirza, S Shahid
Lahore Journal of Economics 13 (2), 2008
682008
The resilience of Islamic equity funds during COVID-19: Evidence from risk adjusted performance, investment styles and volatility timing
N Mirza, SKA Rizvi, I Saba, B Naqvi, L Yarovaya
International Review of Economics & Finance 77, 276-295, 2022
632022
The determinants of corporate dividend policy in Pakistan
A Bushra, N Mirza
The Lahore journal of economics 20 (2), 77, 2015
632015
Forecasting credit ratings of decarbonized firms: Comparative assessment of machine learning models
B Yu, C Li, N Mirza, M Umar
Technological Forecasting and Social Change 174, 121255, 2022
622022
The impact of COVID-19 on the valuations of non-financial European firms
SKA Rizvi, L Yarovaya, N Mirza, B Naqvi
Heliyon 8 (6), e09486, 2022
572022
How does trade policy uncertainty affect agriculture commodity prices?
TT Sun, CW Su, N Mirza, M Umar
Pacific-Basin Finance Journal 66, 101514, 2021
572021
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