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Details about Jamshed Y. Uppal

Homepage:http://faculty.cua.edu/uppal
Workplace:School of Business and Economics, Catholic University of America, (more information at EDIRC)

Access statistics for papers by Jamshed Y. Uppal.

Last updated 2023-01-08. Update your information in the RePEc Author Service.

Short-id: pup13


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Working Papers

2017

  1. Financialization and speculative bubbles - International evidence
    CAMA Working Papers, Centre for Applied Macroeconomic Analysis, Crawford School of Public Policy, The Australian National University Downloads View citations (1)

1999

  1. Stock Returns Volatility in an Emerging Market: The Pakistani Evidence
    MPRA Paper, University Library of Munich, Germany Downloads View citations (7)
    See also Journal Article STOCK RETURNS VOLATILITY IN AN EMERGING MARKET: The Pakistani Evidence, Pakistan Journal of Applied Economics, Applied Economics Research Centre (1999) Downloads View citations (3) (1999)

Journal Articles

2021

  1. Developing Housing Finance in Pakistan – Challenges and Opportunities
    Lahore Journal of Economics, 2021, 26, (1), 31-56 Downloads View citations (1)
  2. Modelling Foreign Exchange Risk in a Managed Float Regime: Evidence from Pakistan
    The Pakistan Development Review, 2021, 60, (1), 65-84 Downloads

2020

  1. China’s Belt and Road Initiative and the Rise of Yuan–Evidence from Pakistan
    Lahore Journal of Economics, 2020, 25, (1), 1-26 Downloads

2018

  1. Role of Financial Services in Economic Growth: Policy Implications for Pakistan
    Lahore Journal of Economics, 2018, 23, (2), 69-108 Downloads View citations (3)
  2. Stability of cross-market bivariate return distributions during financial turbulence
    Research in International Business and Finance, 2018, 45, (C), 389-401 Downloads

2017

  1. Co-integration of Sukuk and Bond Yields - Evidence from Globally Placed Sukuk
    Journal of Management Sciences, 2017, 4, (1), 106-115 Downloads View citations (1)
  2. External Debt Management in Pakistan: A Market-Based Assessment
    Lahore Journal of Economics, 2017, 22, (Special Edition), 25-51 Downloads

2016

  1. A Raging Bull or a Long-term Speculative Bubble? The Puzzling Case of the Karachi Stock Exchange
    The Pakistan Development Review, 2016, 55, (2), 79-93 Downloads View citations (2)

2014

  1. Are there nonlinear speculative bubbles in commodities prices?
    Journal of Post Keynesian Economics, 2014, 36, (3), 415-438 Downloads View citations (2)
  2. Macro-economic Policies and Energy Security—Implications for a Chronic Energy Deficit Country
    The Pakistan Development Review, 2014, 53, (3), 255-273 Downloads View citations (2)
  3. Mitigating Vulnerability to Oil Price Risk— Applicability of Risk Models to Pakistan’s Energy Problem
    The Pakistan Development Review, 2014, 53, (3), 293-308 Downloads View citations (2)

2013

  1. Foreign exchange risk in a managed float regime: A case study of Pakistani rupee
    Economic Modelling, 2013, 35, (C), 409-417 Downloads
  2. Human Development and Economic Uncertainties: Exploring Another Dimension of Development
    Lahore Journal of Economics, 2013, 18, (Special Edition), 305-334 Downloads

2012

  1. Risk Management in the Financial Services Sector—Applicability and Performance of VaR Models in Pakistan
    The Pakistan Development Review, 2012, 51, (4), 399-417 Downloads View citations (2)

2011

  1. Government Budget Deficits and the Development of the Bond Market in Pakistan: Issues and Challenges
    Lahore Journal of Economics, 2011, 16, (Special Edition), 159-198 Downloads View citations (4)

2010

  1. Emerging Markets and Stock Market Bubbles: Nonlinear Speculation?
    Emerging Markets Finance and Trade, 2010, 46, (4), 23-40 Downloads View citations (8)

2009

  1. The Role of Satellite Stock Exchanges: A Case Study of the Lahore Stock Exchange
    Lahore Journal of Economics, 2009, 14, (2), 1-47 Downloads

2007

  1. Role of Securities Law in the Development of Domestic Corporate Bond Markets
    SBP Research Bulletin, 2007, 3, 75-88 Downloads View citations (1)

2006

  1. Market Volatility, Manipulation, and Regulatory Response: A Comparative Study of Bombay and Karachi Stock Markets
    The Pakistan Development Review, 2006, 45, (4), 1071-1083 Downloads View citations (4)
  2. Regulatory Response to Market Volatility and Manipulation: A Case Study of Mumbai and Karachi Stock Exchanges
    Lahore Journal of Economics, 2006, 11, (2), 79-105 Downloads View citations (2)

1999

  1. Evidence of nonlinear speculative bubbles in pacific-rim stock markets
    The Quarterly Review of Economics and Finance, 1999, 39, (1), 21-36 Downloads View citations (5)
  2. STOCK RETURNS VOLATILITY IN AN EMERGING MARKET: The Pakistani Evidence
    Pakistan Journal of Applied Economics, 1999, 15, 19-40 Downloads View citations (3)
    See also Working Paper Stock Returns Volatility in an Emerging Market: The Pakistani Evidence, MPRA Paper (1999) Downloads View citations (7) (1999)

1996

  1. Accessing International Capital: Pakistan’s Experience, Prospects, and Policy Implications
    The Pakistan Development Review, 1996, 35, (4), 929-941 Downloads

1993

  1. Downside Risk and Investment Choice
    The Financial Review, 1993, 28, (4), 585-605 View citations (3)
  2. The Internationalisation of the Pakistani Stock Market: An Empirical Investigation
    The Pakistan Development Review, 1993, 32, (4), 605-618 Downloads View citations (14)

Chapters

2014

  1. Challenges in the Application of Extreme Value Theory in Emerging Markets: A Case Study of Pakistan
    A chapter in Risk Management Post Financial Crisis: A Period of Monetary Easing, 2014, vol. 96, pp 417-437 Downloads
 
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