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Details about Mohammad Enamul Hoque

Workplace:Brac University

Access statistics for papers by Mohammad Enamul Hoque.

Last updated 2025-10-06. Update your information in the RePEc Author Service.

Short-id: pho867


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Working Papers

2024

  1. A Multi-Dimensional Connectedness and Spillover between Green Bond and Islamic Banking Equity: Evidence from country level analysis
    Post-Print, HAL
    See also Journal Article A multi-dimensional connectedness and spillover between green bond and Islamic banking equity: Evidence from country level analysis, Pacific-Basin Finance Journal, Elsevier (2024) Downloads View citations (7) (2024)

Journal Articles

2025

  1. Higher-order moment and cross-moment spillovers among MENA stock markets: Insights from geopolitical risks and global fear
    Research in International Business and Finance, 2025, 77, (PA) Downloads
  2. Multifractal analysis of GCC banking stock efficiency dynamics: impact of financial stress, economic policy uncertainty, and geopolitical factors
    Eurasian Economic Review, 2025, 15, (3), 641-686 Downloads
  3. Multilayer connectedness across geopolitical risks, clean, and dirty energy markets: The role of global uncertainty factors and climate surprise
    Energy Economics, 2025, 144, (C) Downloads View citations (1)
  4. Renewable energy and technology adoption: Mitigating CO2 emissions through implementation strategies
    Natural Resources Forum, 2025, 49, (2), 1478-1535 Downloads
  5. Spatial spillover effects of gender inequality on the path to energy transition and environmental sustainability in Asia
    Utilities Policy, 2025, 95, (C) Downloads

2024

  1. A multi-dimensional connectedness and spillover between green bond and Islamic banking equity: Evidence from country level analysis
    Pacific-Basin Finance Journal, 2024, 83, (C) Downloads View citations (7)
    See also Working Paper A Multi-Dimensional Connectedness and Spillover between Green Bond and Islamic Banking Equity: Evidence from country level analysis, Post-Print (2024) (2024)
  2. Are research and development on energy efficiency and energy sources effective in the level of CO2 emissions? Fresh evidence from EU data
    Environment, Development and Sustainability: A Multidisciplinary Approach to the Theory and Practice of Sustainable Development, 2024, 26, (9), 24183-24219 Downloads View citations (2)
  3. Connectedness across meme assets and sectoral markets: Determinants and portfolio management
    International Review of Financial Analysis, 2024, 93, (C) Downloads View citations (10)
  4. Does news related to digital economy and central bank digital currency affect digital economy ETFs? Evidence from TVP-VAR connectedness and wavelet local multiple correlation analyses
    Global Finance Journal, 2024, 61, (C) Downloads View citations (3)
  5. Downside risk connectedness between Islamic sectors and green bond markets: implications for hedging and investment strategies
    Applied Economics, 2024, 56, (59), 8900-8933 Downloads View citations (6)
  6. Global uncertainty and the spillover of tail risk between green and Islamic markets: A time-frequency domain approach with portfolio implications
    International Review of Economics & Finance, 2024, 92, (C), 1416-1433 Downloads View citations (6)
  7. Gold-backed cryptocurrencies: A hedging tool against categorical and regional financial stress
    Global Finance Journal, 2024, 60, (C) Downloads View citations (3)
  8. Managing risk and reaping rewards: Climate‐change futures as a game‐changer for energy futures markets
    Journal of Futures Markets, 2024, 44, (8), 1338-1356 Downloads
  9. Modeling the intention to consume and willingness to pay premium price for 3D-printed food in an emerging economy
    Palgrave Communications, 2024, 11, (1), 1-14 Downloads
  10. Quantifying the volatility spillover dynamics between financial stress and US financial sectors: Evidence from QVAR connectedness
    International Review of Financial Analysis, 2024, 95, (PB) Downloads View citations (11)
  11. Saving Policy and Profit Allocation System in Islamic Banking: Problems and Ways out
    International Journal of Research and Innovation in Social Science, 2024, 8, (9), 246-256 Downloads
  12. Volatility interconnectedness among financial and geopolitical markets: Evidence from COVID-19 and Ukraine-Russia crises
    Economic Analysis and Policy, 2024, 82, (C), 303-320 Downloads View citations (8)

2023

  1. Antecedents and consequences of a retailers’ price image: The moderating role of pricing strategy
    Cogent Business & Management, 2023, 10, (3), 2256086 Downloads
  2. Asymmetric and Lag Effects of Industry Risk Factors on the Malaysian Oil and Gas Stocks
    SAGE Open, 2023, 13, (3), 21582440231179444 Downloads
  3. Does perceived behavioral control mediate customers' innovativeness and continuance intention of e-money? The moderating role of perceived risk and e-security
    International Journal of Emerging Markets, 2023, 19, (12), 4481-4502 Downloads
  4. Dynamic regime differences in the market behavior of primary natural resources in response to geopolitical risk and economic policy uncertainty
    Resources Policy, 2023, 87, (PB) Downloads View citations (9)
  5. International trade policy uncertainty spillover on stock market: Evidence from fragile five economies
    The Journal of International Trade & Economic Development, 2023, 32, (1), 104-131 Downloads View citations (4)
  6. Modeling the intention and adoption of food waste prevention practices among Chinese households
    Palgrave Communications, 2023, 10, (1), 1-12 Downloads
  7. Predicting m-Commerce Continuance Intention and Price Sensitivity in Indonesia by Integrating of Expectation-Confirmation and Post-acceptance Model
    SAGE Open, 2023, 13, (3), 21582440231188019 Downloads
  8. The role of solar energy usage in environmental sustainability: Fresh evidence through time-frequency analyses
    Renewable Energy, 2023, 206, (C), 858-871 Downloads View citations (14)
  9. Time and frequency domain connectedness and spillover among categorical and regional financial stress, gold and bitcoin market
    Resources Policy, 2023, 85, (PA) Downloads View citations (15)
  10. Time-frequency connectedness and spillover among carbon, climate, and energy futures: Determinants and portfolio risk management implications
    Energy Economics, 2023, 127, (PB) Downloads View citations (25)
  11. What do we know about spillover between the climate change futures market and the carbon futures market?
    Climatic Change, 2023, 176, (12), 1-23 Downloads View citations (1)

2022

  1. Carbon Futures and Clean Energy Stocks: Do They Hedge or Safe Haven against the Climate Policy Uncertainty?
    JRFM, 2022, 15, (9), 1-11 Downloads View citations (9)
  2. Does Financial Leverage Mediates Corporate Governance and Firm Performance?
    Sustainability, 2022, 14, (20), 1-20 Downloads View citations (3)
  3. Impact of Industry-Specific Risk Factors on Stock Returns of the Malaysian Oil and Gas Industry in a Structural Break Environment
    Mathematics, 2022, 10, (2), 1-15 Downloads View citations (2)
  4. Millennial Generation’s Islamic Banking Behavioral Intention: The Moderating Role of Profit-Loss Sharing, Perceived Financial Risk, Knowledge of Riba, and Marketing Relationship
    JRFM, 2022, 15, (12), 1-22 Downloads
  5. Moderating Effects of Financial Cognitive Abilities and Considerations on the Attitude–Intentions Nexus of Stock Market Participation
    IJFS, 2022, 10, (1), 1-21 Downloads View citations (3)
  6. Predicting the intention to adopt wearable payment devices in China: The use of hybrid SEM-Neural network approach
    PLOS ONE, 2022, 17, (8), 1-21 Downloads
  7. Reactions of Bitcoin and Gold to Categorical Financial Stress: New Evidence from Quantile Estimation
    Risks, 2022, 10, (7), 1-10 Downloads View citations (6)
  8. The Quality of Fair Revaluation of Fixed Assets and Additional Calculations Aimed at Facilitating Prospective Investors’ Decisions
    Sustainability, 2022, 14, (16), 1-14 Downloads
  9. Willingness to pay for the preservation of urban green space in Indonesia
    Cogent Economics & Finance, 2022, 10, (1), 2008588 Downloads View citations (4)

2021

  1. Geopolitical Uncertainties and Malaysian Stock Market Returns: Do Market Conditions Matter?
    Mathematics, 2021, 9, (19), 1-16 Downloads

2020

  1. Impacts of Global-Economic-Policy Uncertainty on Emerging Stock Market: Evidence from Linear and Non-Linear Models
    Prague Economic Papers, 2020, 2020, (1), 53-66 Downloads View citations (7)
  2. Industry Risk Factors and Stock Returns of Malaysian Oil and Gas Industry: A New Look with Mean Semi-Variance Asset Pricing Framework
    Mathematics, 2020, 8, (10), 1-28 Downloads View citations (4)
  3. Moderating effects of perceived risk on the determinants–outcome nexus of e-money behaviour
    International Journal of Emerging Markets, 2020, 17, (2), 530-549 Downloads View citations (1)
  4. The Effects of Oil and Gas Risk Factors on Malaysian Oil and Gas Stock Returns: Do They Vary?
    Energies, 2020, 13, (15), 1-22 Downloads View citations (3)

2019

  1. Factors affecting Islamic banking behavioral intention: the moderating effects of customer marketing practices and financial considerations
    Journal of Financial Services Marketing, 2019, 24, (1), 44-58 Downloads View citations (5)
  2. Oil price shocks, global economic policy uncertainty, geopolitical risk, and stock price in Malaysia: Factor augmented VAR approach
    Economic Research-Ekonomska Istraživanja, 2019, 32, (1), 3700-3732 Downloads View citations (11)
  3. The impacts of global economic policy uncertainty on stock market returns in regime switching environment: Evidence from sectoral perspectives
    International Journal of Finance & Economics, 2019, 24, (2), 991-1016 Downloads View citations (36)

2018

  1. Effects of communication and financial concerns on banking attitude-behaviour relations
    The Service Industries Journal, 2018, 38, (13-14), 1017-1042 Downloads View citations (1)
  2. Revisiting endogeneity among foreign direct investment, economic growth and stock market development: Moderating role of political instability
    Cogent Economics & Finance, 2018, 6, (1), 1492311 Downloads View citations (10)

2017

  1. Revisiting stock market development and economic growth nexus: The moderating role of foreign capital inflows and exchange rates
    Cogent Economics & Finance, 2017, 5, (1), 1329975 Downloads View citations (12)
  2. Why Company Should Adopt Integrated Reporting?
    International Journal of Economics and Financial Issues, 2017, 7, (1), 241-248 Downloads View citations (14)

2016

  1. Willingness-to-Pay for Community-Based Health Insurance among Informal Workers in Urban Bangladesh
    PLOS ONE, 2016, 11, (2), 1-16 Downloads View citations (18)

Chapters

2023

  1. The Moderating Role of Gender and Employee Championing Behaviour in the Relationship Between Green Human Resource Management Practices and Sustainable Organisational Performance: Evidence from Bangladesh
    Springer
 
Page updated 2025-10-07