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Details about Shoaib Ali

Workplace:Rabat Business School, Université Internationale de Rabat (Rabat International University), (more information at EDIRC)

Access statistics for papers by Shoaib Ali.

Last updated 2024-12-17. Update your information in the RePEc Author Service.

Short-id: pal1270


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Working Papers

2015

  1. Relationship between Credit Rating, Capital Structure and Earning Management Behaviour: Evidence from Pakistani Listed Firms
    PIDE-Working Papers, Pakistan Institute of Development Economics Downloads

Journal Articles

2025

  1. Interlinkage between lending and borrowing tokens and US equity sector: Implications for social finance
    Research in International Business and Finance, 2025, 73, (PA) Downloads
  2. Unlocking the diversification benefits of DeFi for ASEAN stock market portfolios: a quantile study
    Financial Innovation, 2025, 11, (1), 1-26 Downloads

2024

  1. A high-frequency data dive into SVB collapse
    Finance Research Letters, 2024, 59, (C) Downloads View citations (9)
  2. Artificial intelligence and big data tokens: Where cognition unites, herding patterns take flight
    Research in International Business and Finance, 2024, 72, (PA) Downloads
  3. Assessing the impact of renewable energy tokens on BRICS stock markets: A new diversification approach
    Energy Economics, 2024, 134, (C) Downloads View citations (3)
  4. Bridging the gap: Uncovering static and dynamic relationships between digital assets and BRICS equity markets
    Global Finance Journal, 2024, 60, (C) Downloads View citations (2)
  5. Connectedness at extremes between real estate tokens and real estate stocks
    International Review of Financial Analysis, 2024, 95, (PB) Downloads View citations (4)
  6. Connectedness between energy cryptocurrencies and US equity markets: A quantile-based analysis
    International Review of Financial Analysis, 2024, 96, (PB) Downloads View citations (1)
  7. Demystifying the dynamic relationship between news sentiment index and ESG stocks: Evidence from time-frequency wavelet analysis
    International Review of Financial Analysis, 2024, 96, (PB) Downloads
  8. Does Risk Tolerance Mediates the Relationship Between Financial Literacy and Financial Wellbeing During COVID-19: Empirical Evidence From an Emerging Economy
    SAGE Open, 2024, 14, (4), 21582440241297065 Downloads
  9. Economic freedom and banks' risk-taking in Japan: a tale of two sides
    Journal of Risk Finance, 2024, 25, (3), 537-554 Downloads
  10. Equity markets and ESG dynamics: Assessing spillovers and portfolio strategies through time-varying parameters
    Energy Economics, 2024, 134, (C) Downloads View citations (5)
  11. Extreme connectedness between NFTs and US equity market: A sectoral analysis
    International Review of Economics & Finance, 2024, 91, (C), 299-315 Downloads View citations (6)
  12. FinTech-powered integration: Navigating the static and dynamic connectedness between GCC equity markets and renewable energy cryptocurrencies
    Resources Policy, 2024, 89, (C) Downloads View citations (5)
  13. From cryptos to consciousness: Dynamics of return and volatility spillover between green cryptocurrencies and G7 markets
    Finance Research Letters, 2024, 60, (C) Downloads View citations (4)
  14. Impact of tokenization on financial investments: Exploring connectedness through the case of transport and travel/tourism sectors
    Finance Research Letters, 2024, 62, (PB) Downloads View citations (4)
  15. Mineral Metamorphosis: Tracing the static and dynamic nexus between minerals and global south markets
    Resources Policy, 2024, 96, (C) Downloads
  16. Pandemic Fallout: Analyzing the Impact of COVID-19 on Taiwan’s Hotel Stocks
    Annals of Financial Economics (AFE), 2024, 19, (01), 1-29 Downloads
  17. Reputational contagion from the Silicon Valley Bank debacle
    Research in International Business and Finance, 2024, 69, (C) Downloads View citations (1)
  18. Return and volatility connectedness between agricultural tokens and us equity sectors
    Research in International Business and Finance, 2024, 72, (PB) Downloads
  19. Spillovers and hedging effectiveness between islamic cryptocurrency and metal markets: Evidence from the COVID-19 outbreak
    International Review of Economics & Finance, 2024, 92, (C), 1126-1151 Downloads View citations (7)
  20. The resilience of Shariah-compliant investments: Probing the static and dynamic connectedness between gold-backed cryptocurrencies and GCC equity markets
    International Review of Financial Analysis, 2024, 91, (C) Downloads View citations (4)
  21. When giants fall: Tracing the ripple effects of Silicon Valley Bank (SVB) collapse on global financial markets
    Research in International Business and Finance, 2024, 67, (PA) Downloads

2023

  1. Comovements and hedging effectiveness between conventional and Islamic cryptocurrencies: evidence from the COVID-19 pandemic
    International Journal of Emerging Markets, 2023, 19, (12), 4383-4408 Downloads View citations (4)
  2. Connectedness and portfolio management between renewable energy tokens and metals: Evidence from TVP-VAR approach
    Energy Economics, 2023, 127, (PA) Downloads View citations (15)
  3. Connectedness between cryptocurrencies using high-frequency data: A novel insight from the Silicon Valley Banks collapse
    Finance Research Letters, 2023, 58, (PB) Downloads View citations (16)
  4. Cyclicality of liquidity creation: Nonlinear evidence from US bank holding companies
    Journal of Financial Research, 2023, 46, (4), 1165-1185 Downloads
  5. Dynamic spillovers and portfolio risk management between defi and metals: Empirical evidence from the Covid-19
    Resources Policy, 2023, 83, (C) Downloads View citations (18)
  6. Tail-event driven NETwork dependence in emerging markets
    Emerging Markets Review, 2023, 55, (C) Downloads View citations (9)
  7. To Invest or Not to Invest? Determinants of Low Stock Market Participation: Qualitative Perspective from Pakistan Stock Exchange
    Advances in Decision Sciences, 2023, 27, (1), 113-171 Downloads View citations (4)
  8. Too big to fail: The aftermath of Silicon Valley Bank (SVB) collapse and its impact on financial markets
    Research in International Business and Finance, 2023, 66, (C) Downloads View citations (12)

2022

  1. Does green finance matter for environmental safety? empirical evidence from the atomic power states
    Cogent Business & Management, 2022, 9, (1), 2098638 Downloads View citations (1)
  2. Dynamics of diversification and banks' risk‐taking and stability: Empirical analysis of commercial banks
    Managerial and Decision Economics, 2022, 43, (4), 1000-1014 Downloads View citations (2)
  3. IMPACT OF ECONOMIC FREEDOM AND ITS SUBCOMPONENTS ON COMMERCIAL BANKS’ RISK-TAKING
    Annals of Financial Economics (AFE), 2022, 17, (03), 1-30 Downloads View citations (1)
  4. Infectious disease (COVID-19)-related uncertainty and the safe-haven features of bonds markets
    Review of Behavioral Finance, 2022, 15, (4), 477-487 Downloads View citations (10)
  5. Information transmission and hedging effectiveness for the pairs crude oil-gold and crude oil-Bitcoin during the COVID-19 outbreak
    Economic Research-Ekonomska Istraživanja, 2022, 35, (1), 1913-1934 Downloads View citations (9)
  6. Is Economic Freedom a Moderator of the Relationship Between Bank Capital and Profitability?
    Scientific Annals of Economics and Business (continues Analele Stiintifice), 2022, 69, (2), 273 - 292 Downloads
  7. Probing the impact of cognitive heuristics on strategic decision-making during the COVID-19 pandemic: evidence from an emerging economy
    International Journal of Social Economics, 2022, 49, (10), 1532-1550 Downloads View citations (1)
  8. Return and Volatility Transmissions between Metals and Stocks: A Study of the Emerging Asian Markets by Using the VAR-AGARCH Approach
    Asia-Pacific Journal of Operational Research (APJOR), 2022, 39, (04), 1-25 Downloads View citations (6)
  9. Role of bank competition in determining liquidity creation: evidence from GCC countries
    Journal of Applied Economics, 2022, 25, (1), 242-259 Downloads View citations (8)
  10. Spillovers and portfolio risk management of gold and stock markets: evidence from emerging Latin American markets
    Macroeconomics and Finance in Emerging Market Economies, 2022, 15, (2), 160-176 Downloads
  11. THE ROLE OF FAMILY CONTROL IN DETERMINING THE CAPITAL STRUCTURE: EVIDENCE FROM NONFINANCIAL LISTED FIRMS
    Ekonomski pregled, 2022, 73, (3), 459-481 Downloads
  12. TIME-FREQUENCY CO-MOVEMENT BETWEEN COVID-19 AND PAKISTAN’S STOCK MARKET: EMPIRICAL EVIDENCE FROM WAVELET COHERENCE ANALYSIS
    Annals of Financial Economics (AFE), 2022, 17, (04), 1-17 Downloads View citations (3)

2021

  1. A tale of company fundamentals vs sentiment driven pricing: The case of GameStop
    Journal of Behavioral and Experimental Finance, 2021, 30, (C) Downloads View citations (46)
  2. Are ESG stocks safe-haven during COVID-19?
    Studies in Economics and Finance, 2021, 39, (2), 239-255 Downloads View citations (9)
  3. Bank Capital Buffer and Economic Growth: New Insights from the US Banking Sector
    JRFM, 2021, 14, (4), 1-13 Downloads View citations (4)
  4. Does economic growth affect the relationship between banks' capital, liquidity and profitability: empirical evidence from emerging economies
    Journal of Economic and Administrative Sciences, 2021, 39, (2), 366-381 Downloads View citations (1)
  5. Dynamics of Funding Liquidity and Risk-Taking: Evidence from Commercial Banks
    JRFM, 2021, 14, (6), 1-16 Downloads View citations (1)
  6. Economics of capital adjustment in the US commercial banks: empirical analysis
    Journal of Applied Economics, 2021, 24, (1), 71-90 Downloads View citations (6)
  7. Gold against Asian Stock Markets during the COVID-19 Outbreak
    JRFM, 2021, 14, (4), 1-23 Downloads View citations (18)
  8. Herding on Fundamental/Nonfundamental Information During the COVID-19 Outbreak and Cyber-Attacks: Evidence From the Cryptocurrency Market
    SAGE Open, 2021, 11, (3), 21582440211029911 Downloads View citations (6)
  9. How Do Capital Ratios Affect Bank Risk-Taking: New Evidence From the United States
    SAGE Open, 2021, 11, (1), 2158244020979678 Downloads View citations (7)
  10. Linkages between gold and Latin American equity markets: portfolio implications
    Journal of Economics, Finance and Administrative Science, 2021, 26, (52), 237-251 Downloads View citations (1)
  11. Nexus between bank capital and risk-taking behaviour: Empirical evidence from US commercial banks
    Cogent Business & Management, 2021, 8, (1), 1947557 Downloads View citations (4)
  12. Risk and Return Transmissions From Crude Oil to Latin American Stock Markets During the Crisis: Portfolio Implications
    SAGE Open, 2021, 11, (2), 21582440211013800 Downloads View citations (1)

2020

  1. An Empirical Analysis of the Volatility Spillover Effect between World-Leading and the Asian Stock Markets: Implications for Portfolio Management
    JRFM, 2020, 13, (10), 1-28 Downloads View citations (4)
  2. Discovering interlinkages between major cryptocurrencies using high-frequency data: new evidence from COVID-19 pandemic
    Financial Innovation, 2020, 6, (1), 1-18 Downloads View citations (59)
  3. Dynamics of bank capital ratios and risk-taking: Evidence from US commercial banks
    Cogent Economics & Finance, 2020, 8, (1), 1838693 Downloads View citations (3)
  4. How commercial banks adjust capital ratios: Empirical evidence from the USA?‎
    Cogent Business & Management, 2020, 7, (1), 1859848 Downloads View citations (7)
  5. Integration between real estate and stock markets: new evidence from Pakistan
    International Journal of Housing Markets and Analysis, 2020, 13, (5), 887-900 Downloads View citations (7)
  6. Return and Volatility Transmission between World-Leading and Latin American Stock Markets: Portfolio Implications
    JRFM, 2020, 13, (7), 1-19 Downloads View citations (8)

2019

  1. Effect of family control on corporate dividend policy of firms in Pakistan
    Financial Innovation, 2019, 5, (1), 1-13 Downloads View citations (9)

2018

  1. Herding behavior in Ramadan and financial crises: the case of the Pakistani stock market
    Financial Innovation, 2018, 4, (1), 1-14 Downloads View citations (27)

2016

  1. The Impact of E-Banking on Customer Satisfaction: Evidence from Banking Sector of Pakistan
    Journal of Business Administration Research, 2016, 5, (2), 27-40 Downloads View citations (5)

Chapters

2023

  1. Blockchain-Enabled Banking Services and Customers’ Perceived Financial Well-Being: A Structural Nexus
    Springer
 
Page updated 2025-03-23