Details about Shoaib Ali
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Last updated 2024-12-17. Update your information in the RePEc Author Service.
Short-id: pal1270
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Working Papers
2015
- Relationship between Credit Rating, Capital Structure and Earning Management Behaviour: Evidence from Pakistani Listed Firms
PIDE-Working Papers, Pakistan Institute of Development Economics
Journal Articles
2025
- Interlinkage between lending and borrowing tokens and US equity sector: Implications for social finance
Research in International Business and Finance, 2025, 73, (PA)
- Unlocking the diversification benefits of DeFi for ASEAN stock market portfolios: a quantile study
Financial Innovation, 2025, 11, (1), 1-26
2024
- A high-frequency data dive into SVB collapse
Finance Research Letters, 2024, 59, (C) View citations (9)
- Artificial intelligence and big data tokens: Where cognition unites, herding patterns take flight
Research in International Business and Finance, 2024, 72, (PA)
- Assessing the impact of renewable energy tokens on BRICS stock markets: A new diversification approach
Energy Economics, 2024, 134, (C) View citations (3)
- Bridging the gap: Uncovering static and dynamic relationships between digital assets and BRICS equity markets
Global Finance Journal, 2024, 60, (C) View citations (2)
- Connectedness at extremes between real estate tokens and real estate stocks
International Review of Financial Analysis, 2024, 95, (PB) View citations (4)
- Connectedness between energy cryptocurrencies and US equity markets: A quantile-based analysis
International Review of Financial Analysis, 2024, 96, (PB) View citations (1)
- 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)
- 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
- Economic freedom and banks' risk-taking in Japan: a tale of two sides
Journal of Risk Finance, 2024, 25, (3), 537-554
- Equity markets and ESG dynamics: Assessing spillovers and portfolio strategies through time-varying parameters
Energy Economics, 2024, 134, (C) View citations (5)
- Extreme connectedness between NFTs and US equity market: A sectoral analysis
International Review of Economics & Finance, 2024, 91, (C), 299-315 View citations (6)
- FinTech-powered integration: Navigating the static and dynamic connectedness between GCC equity markets and renewable energy cryptocurrencies
Resources Policy, 2024, 89, (C) View citations (5)
- From cryptos to consciousness: Dynamics of return and volatility spillover between green cryptocurrencies and G7 markets
Finance Research Letters, 2024, 60, (C) View citations (4)
- Impact of tokenization on financial investments: Exploring connectedness through the case of transport and travel/tourism sectors
Finance Research Letters, 2024, 62, (PB) View citations (4)
- Mineral Metamorphosis: Tracing the static and dynamic nexus between minerals and global south markets
Resources Policy, 2024, 96, (C)
- Pandemic Fallout: Analyzing the Impact of COVID-19 on Taiwan’s Hotel Stocks
Annals of Financial Economics (AFE), 2024, 19, (01), 1-29
- Reputational contagion from the Silicon Valley Bank debacle
Research in International Business and Finance, 2024, 69, (C) View citations (1)
- Return and volatility connectedness between agricultural tokens and us equity sectors
Research in International Business and Finance, 2024, 72, (PB)
- 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 View citations (7)
- 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) View citations (4)
- 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)
2023
- 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 View citations (4)
- Connectedness and portfolio management between renewable energy tokens and metals: Evidence from TVP-VAR approach
Energy Economics, 2023, 127, (PA) View citations (15)
- Connectedness between cryptocurrencies using high-frequency data: A novel insight from the Silicon Valley Banks collapse
Finance Research Letters, 2023, 58, (PB) View citations (16)
- Cyclicality of liquidity creation: Nonlinear evidence from US bank holding companies
Journal of Financial Research, 2023, 46, (4), 1165-1185
- Dynamic spillovers and portfolio risk management between defi and metals: Empirical evidence from the Covid-19
Resources Policy, 2023, 83, (C) View citations (18)
- Tail-event driven NETwork dependence in emerging markets
Emerging Markets Review, 2023, 55, (C) View citations (9)
- 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 View citations (4)
- 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) View citations (12)
2022
- Does green finance matter for environmental safety? empirical evidence from the atomic power states
Cogent Business & Management, 2022, 9, (1), 2098638 View citations (1)
- Dynamics of diversification and banks' risk‐taking and stability: Empirical analysis of commercial banks
Managerial and Decision Economics, 2022, 43, (4), 1000-1014 View citations (2)
- IMPACT OF ECONOMIC FREEDOM AND ITS SUBCOMPONENTS ON COMMERCIAL BANKS’ RISK-TAKING
Annals of Financial Economics (AFE), 2022, 17, (03), 1-30 View citations (1)
- Infectious disease (COVID-19)-related uncertainty and the safe-haven features of bonds markets
Review of Behavioral Finance, 2022, 15, (4), 477-487 View citations (10)
- 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 View citations (9)
- 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
- 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 View citations (1)
- 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 View citations (6)
- Role of bank competition in determining liquidity creation: evidence from GCC countries
Journal of Applied Economics, 2022, 25, (1), 242-259 View citations (8)
- 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
- THE ROLE OF FAMILY CONTROL IN DETERMINING THE CAPITAL STRUCTURE: EVIDENCE FROM NONFINANCIAL LISTED FIRMS
Ekonomski pregled, 2022, 73, (3), 459-481
- 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 View citations (3)
2021
- A tale of company fundamentals vs sentiment driven pricing: The case of GameStop
Journal of Behavioral and Experimental Finance, 2021, 30, (C) View citations (46)
- Are ESG stocks safe-haven during COVID-19?
Studies in Economics and Finance, 2021, 39, (2), 239-255 View citations (9)
- Bank Capital Buffer and Economic Growth: New Insights from the US Banking Sector
JRFM, 2021, 14, (4), 1-13 View citations (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 View citations (1)
- Dynamics of Funding Liquidity and Risk-Taking: Evidence from Commercial Banks
JRFM, 2021, 14, (6), 1-16 View citations (1)
- Economics of capital adjustment in the US commercial banks: empirical analysis
Journal of Applied Economics, 2021, 24, (1), 71-90 View citations (6)
- Gold against Asian Stock Markets during the COVID-19 Outbreak
JRFM, 2021, 14, (4), 1-23 View citations (18)
- Herding on Fundamental/Nonfundamental Information During the COVID-19 Outbreak and Cyber-Attacks: Evidence From the Cryptocurrency Market
SAGE Open, 2021, 11, (3), 21582440211029911 View citations (6)
- How Do Capital Ratios Affect Bank Risk-Taking: New Evidence From the United States
SAGE Open, 2021, 11, (1), 2158244020979678 View citations (7)
- Linkages between gold and Latin American equity markets: portfolio implications
Journal of Economics, Finance and Administrative Science, 2021, 26, (52), 237-251 View citations (1)
- Nexus between bank capital and risk-taking behaviour: Empirical evidence from US commercial banks
Cogent Business & Management, 2021, 8, (1), 1947557 View citations (4)
- Risk and Return Transmissions From Crude Oil to Latin American Stock Markets During the Crisis: Portfolio Implications
SAGE Open, 2021, 11, (2), 21582440211013800 View citations (1)
2020
- 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 View citations (4)
- Discovering interlinkages between major cryptocurrencies using high-frequency data: new evidence from COVID-19 pandemic
Financial Innovation, 2020, 6, (1), 1-18 View citations (59)
- Dynamics of bank capital ratios and risk-taking: Evidence from US commercial banks
Cogent Economics & Finance, 2020, 8, (1), 1838693 View citations (3)
- How commercial banks adjust capital ratios: Empirical evidence from the USA?
Cogent Business & Management, 2020, 7, (1), 1859848 View citations (7)
- Integration between real estate and stock markets: new evidence from Pakistan
International Journal of Housing Markets and Analysis, 2020, 13, (5), 887-900 View citations (7)
- Return and Volatility Transmission between World-Leading and Latin American Stock Markets: Portfolio Implications
JRFM, 2020, 13, (7), 1-19 View citations (8)
2019
- Effect of family control on corporate dividend policy of firms in Pakistan
Financial Innovation, 2019, 5, (1), 1-13 View citations (9)
2018
- Herding behavior in Ramadan and financial crises: the case of the Pakistani stock market
Financial Innovation, 2018, 4, (1), 1-14 View citations (27)
2016
- The Impact of E-Banking on Customer Satisfaction: Evidence from Banking Sector of Pakistan
Journal of Business Administration Research, 2016, 5, (2), 27-40 View citations (5)
Chapters
2023
- Blockchain-Enabled Banking Services and Customers’ Perceived Financial Well-Being: A Structural Nexus
Springer
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