amustafa@numl.edu.pk
+923219575117
https://scholar.google.com.pk/citations?user=_s9b7xMAAAAJ&hl=en
Degree Name |
Passing Year |
Institution/University |
PHD |
2017 |
CUST, Islamabad |
MS / Mphil (18 Years) |
2010 |
MAJU, Islamabad |
Masters |
2008 |
NUML, Islamabad |
Bachelors |
2007 |
NUML, Islamabad |
Intermediate |
2004 |
FBISE |
Matric |
2002 |
FBISE |
Experience(From Recent to Old) |
|||
Designation |
Institution/Organization |
From |
To |
Asssiatnt Professor |
NUML, Islamabad |
Mar 2016 |
To-date |
Lecturer |
NUML, Islamabad |
Oct 2010 |
Feb 2016 |
Assistant Manager |
Tesla Industries Pvt Ltd |
2008 |
2009 |
Selected Research Publications (Add Top 5 Publications) |
1)Raza, H., Hamid, Z., Hashmi, A. M., & Shah, S. A. (2022). The Dynamic Connectedness and Risk Integration of Cryptocurrency Policy Uncertainty and Cryptocurrency Price Returns. Air University Journal of Business & Economics (AUJBE), 14(1), 1-13. (ISSN (Print): 2075-6909/ISSN (Online): 2708-1923) |
2) Hashmi, A. M., Raza, H., Shah, S, A., Zubair, M., & Adil, M. (2022). The dynamics of Industrial Level Volatility Spillovers in Emerging Equity Market: Evidence from PSX. Competitive Social Science Research Journal, 3(1), 510-539. (ISSN: 2708-9029) |
3) Shah, S, A., Hashmi, A. M., Adil, M., & Khan, A, A. (2022). Corporate Fraud, Ameliorating Actions, and Earnings Quality: Empirical Evidence from Pakistan Stock Exchange (PSX). Competitive Social Science Research Journal, 3(1), 448-465. (ISSN: 2708-9029) |
4) Shah, S, A., Raza, H., & Hashmi, A. M. (2022). Downside risk-return volatilities during Covid 19 outbreak: a comparison across developed and emerging markets. Environmental Science and Pollution Research, 29(1), 70179-70191. (ISSN: 0944-1344,1614-7499) |
5) SShah, S, A., Raza, H., & Hashmi, A. M. (2022). Corporate Governance and Corporate Financial Failures: Evidence from Pakistan Stock Exchange (PSX). International Journal of Management Research and Emerging Sciences, 12(1), 48-59. (ISSN: 2223-5604) |
Areas of Interest |
Financial Intermediation |
Financial Institutions & Markets |
Corporate Governance |
Sustainable Development |
Corporate Finance |
Investment Analysis & Portfolio Management |
Financial Modelling |
Degree Name |
Passing Year |
Institution/University |
PHD |
2017 |
CUST, Islamabad |
MS / Mphil (18 Years) |
2010 |
MAJU, Islamabad |
Masters |
2008 |
NUML, Islamabad |
Bachelors |
2007 |
NUML, Islamabad |
Intermediate |
2004 |
FBISE |
Matric |
2002 |
FBISE |
Experience(From Recent to Old) |
|||
Designation |
Institution/Organization |
From |
To |
Asssiatnt Professor |
NUML, Islamabad |
Mar 2016 |
To-date |
Lecturer |
NUML, Islamabad |
Oct 2010 |
Feb 2016 |
Assistant Manager |
Tesla Industries Pvt Ltd |
2008 |
2009 |
Selected Research Publications (Add Top 5 Publications) |
1)Raza, H., Hamid, Z., Hashmi, A. M., & Shah, S. A. (2022). The Dynamic Connectedness and Risk Integration of Cryptocurrency Policy Uncertainty and Cryptocurrency Price Returns. Air University Journal of Business & Economics (AUJBE), 14(1), 1-13. (ISSN (Print): 2075-6909/ISSN (Online): 2708-1923) |
2) Hashmi, A. M., Raza, H., Shah, S, A., Zubair, M., & Adil, M. (2022). The dynamics of Industrial Level Volatility Spillovers in Emerging Equity Market: Evidence from PSX. Competitive Social Science Research Journal, 3(1), 510-539. (ISSN: 2708-9029) |
3) Shah, S, A., Hashmi, A. M., Adil, M., & Khan, A, A. (2022). Corporate Fraud, Ameliorating Actions, and Earnings Quality: Empirical Evidence from Pakistan Stock Exchange (PSX). Competitive Social Science Research Journal, 3(1), 448-465. (ISSN: 2708-9029) |
4) Shah, S, A., Raza, H., & Hashmi, A. M. (2022). Downside risk-return volatilities during Covid 19 outbreak: a comparison across developed and emerging markets. Environmental Science and Pollution Research, 29(1), 70179-70191. (ISSN: 0944-1344,1614-7499) |
5) SShah, S, A., Raza, H., & Hashmi, A. M. (2022). Corporate Governance and Corporate Financial Failures: Evidence from Pakistan Stock Exchange (PSX). International Journal of Management Research and Emerging Sciences, 12(1), 48-59. (ISSN: 2223-5604) |
Areas of Interest |
Financial Intermediation |
Financial Institutions & Markets |
Corporate Governance |
Sustainable Development |
Corporate Finance |
Investment Analysis & Portfolio Management |
Financial Modelling |