Details about Mohammad Abdullah
Access statistics for papers by Mohammad Abdullah.
 Last updated 2025-10-14. Update your information in the RePEc Author Service.
 Short-id: pab584
 
 
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Working Papers
2023
- Russia-Ukraine war and G7 debt markets: Evidence from public sentiment towards economic sanctions during the conflict
 Working Papers of the African Governance and Development Institute., African Governance and Development Institute.   View citations (7) 
Also in Working Papers, European Xtramile Centre of African Studies (EXCAS) (2023)   View citations (7)
 
 
Journal Articles
2025
- 50 shades of dark green: The nexus of narcissistic leadership and corporate greenwashing
 International Review of Financial Analysis, 2025, 104, (PA)   View citations (1)
 - Are green and dirty cryptocurrencies connected with climate risk attention?
 Economics and Business Letters, 2025, 14, (4), 193-205  
 - Asymmetric tail risk dynamics, efficiency and risk spillover among FinTech stocks, cryptocurrencies and traditional assets
 Global Finance Journal, 2025, 64, (C)  
 - Corporate culture and trade credit
 International Review of Financial Analysis, 2025, 103, (C)  
 - Cybersecurity risk and bank risk-taking
 Journal of Behavioral and Experimental Finance, 2025, 47, (C)  
 - Does climate risk drive digital asset returns?
 Physica A: Statistical Mechanics and its Applications, 2025, 666, (C)  
 - Examining the impact of Halal tourism industry sustainability on stock returns
 Tourism Economics, 2025, 31, (5), 843-860  
 - Firm carbon risk exposure and financial stability
 Finance Research Letters, 2025, 78, (C)  
 - Geopolitical risk and energy market tail risk forecasting: An explainable machine learning approach
 Journal of Commodity Markets, 2025, 39, (C)  
 - Geopolitical risk and real estate stock crash
 Finance Research Letters, 2025, 80, (C)  
 - Marketing tokens and marketing stocks: Tail risk connections with portfolio implications
 Research in International Business and Finance, 2025, 75, (C)  
 - Multiscale tail risk integration between safe-haven assets and Africa’s emerging equity market
 The North American Journal of Economics and Finance, 2025, 75, (PA)   View citations (1)
 
 
2024
- Asymmetric dynamics between geopolitical conflict sentiment and cryptomarkets
 Research in International Business and Finance, 2024, 69, (C)   View citations (3)
 - Asymmetric dynamics between the Baltic Dry Index and financial markets during major global economic events
 The North American Journal of Economics and Finance, 2024, 72, (C)   View citations (3)
 - Correlation structure between fiat currencies and blockchain assets
 Finance Research Letters, 2024, 62, (PA)   View citations (3)
 - Economic sanctions sentiment and global stock markets
 Journal of International Financial Markets, Institutions and Money, 2024, 91, (C)   View citations (8)
 - Energy tokens and green energy markets under crisis periods: A quantile downside tail risk dependence analysis
 International Review of Economics & Finance, 2024, 96, (PB)   View citations (2)
 - Geopolitical conflict and firm bankruptcy risk
 Finance Research Letters, 2024, 68, (C)   View citations (2)
 - Global uncertainty factors and price connectedness between US electricity and blockchain markets: Findings from an R-square connectedness approach
 Finance Research Letters, 2024, 59, (C)   View citations (6)
 - Monetary policy uncertainty and ESG performance across energy firms
 Energy Economics, 2024, 136, (C)   View citations (6)
 - Risk Spillover of Russia-Ukraine War and Oil Price on Asian Islamic Stocks and Cryptocurrency - A Quantile Connectedness Approach
 Asian Economics Letters, 2024, 4, (4), 1-8  
 - Tail risk intersection between tech-tokens and tech-stocks
 Global Finance Journal, 2024, 61, (C)   View citations (3)
 - The impact of social capital on major customer supply chain power
 Economics Letters, 2024, 238, (C)  
 - The threshold effect of institutional quality on sovereign debt and economic stability
 Journal of Policy Modeling, 2024, 46, (1), 39-59   View citations (5)
 - Time-varying relationship between international monetary policy and energy markets
 Energy Economics, 2024, 131, (C)   View citations (8)
 - Wavelet quantile correlation between DeFi assets and banking stocks
 Finance Research Letters, 2024, 70, (C)  
 
 
2023
- Analyzing the commonalities between Islamic social finance and sustainable development goals
 International Journal of Ethics and Systems, 2023, 40, (2), 381-394   View citations (1)
 - Asymmetric efficiency and connectedness among green stocks, halal tourism stocks, cryptocurrencies, and commodities: Portfolio hedging implications
 Resources Policy, 2023, 81, (C)   View citations (16)
 - Blockchain market and eco-friendly financial assets: Dynamic price correlation, connectedness and spillovers with portfolio implications
 International Review of Economics & Finance, 2023, 87, (C), 218-243   View citations (19)
 - Effect of Russia–Ukraine war sentiment on blockchain and FinTech stocks
 International Review of Financial Analysis, 2023, 90, (C)   View citations (26)
 - Extreme return and volatility connectedness among real estate tokens, REITs, and other assets: The role of global factors and portfolio implications
 Finance Research Letters, 2023, 56, (C)   View citations (30)
 - Forecasting nonperforming loans using machine learning
 Journal of Forecasting, 2023, 42, (7), 1664-1689   View citations (2)
 - Halal tourism demand and firm performance forecasting: new evidence from machine learning
 Current Issues in Tourism, 2023, 26, (23), 3765-3781  
 - Managerial ability and climate change exposure
 International Journal of Managerial Finance, 2023, 20, (3), 651-676  
 - NFTs, DeFi, and other assets efficiency and volatility dynamics: An asymmetric multifractality analysis
 International Review of Financial Analysis, 2023, 87, (C)   View citations (34)
 - Tail risk contagion across electricity markets in crisis periods
 Energy Economics, 2023, 127, (PB)   View citations (9)
 - The nonlinear and threshold effects of IT investment on the banking sector of Bangladesh
 Economic Change and Restructuring, 2023, 56, (6), 4253-4283  
 
 
2022
- COVID-19 government interventions and cryptocurrency market: Is there any optimum portfolio diversification?
 Journal of International Financial Markets, Institutions and Money, 2022, 81, (C)   View citations (8)
 - Do socio-political factors affect investment performance?
 Cogent Economics & Finance, 2022, 10, (1), 2113496  
 
 
2021
- The implication of machine learning for financial solvency prediction: an empirical analysis on public listed companies of Bangladesh
 Journal of Asian Business and Economic Studies, 2021, 28, (4), 303-320   View citations (1)
 
 
2020
- Reflection of Maqāṣid al-Sharī'ah in the classicalFiqh al-Awqāf
 Islamic Economic Studies, 2020, 27, (2), 79-90  
 
 
2017
- LINKAGE BETWEEN CORPORATE SOCIAL PERFORMANCE AND STOCK RETURN: AN EVIDENCE FROM FINANCIAL SECTOR OF BANGLADESH
 Journal of Developing Areas, 2017, 51, (2), 287-299   View citations (3)
 
 
Chapters
2025
- The Impact of Fintech on Global Entrepreneurship and Business Development
 Springer
 
 
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