Details about Jamshed Y. Uppal
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
- Financialization and speculative bubbles - International evidence
CAMA Working Papers, Centre for Applied Macroeconomic Analysis, Crawford School of Public Policy, The Australian National University View citations (1)
1999
- Stock Returns Volatility in an Emerging Market: The Pakistani Evidence
MPRA Paper, University Library of Munich, Germany 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) View citations (3) (1999)
Journal Articles
2021
- Developing Housing Finance in Pakistan – Challenges and Opportunities
Lahore Journal of Economics, 2021, 26, (1), 31-56 View citations (1)
- Modelling Foreign Exchange Risk in a Managed Float Regime: Evidence from Pakistan
The Pakistan Development Review, 2021, 60, (1), 65-84
2020
- China’s Belt and Road Initiative and the Rise of Yuan–Evidence from Pakistan
Lahore Journal of Economics, 2020, 25, (1), 1-26
2018
- Role of Financial Services in Economic Growth: Policy Implications for Pakistan
Lahore Journal of Economics, 2018, 23, (2), 69-108 View citations (3)
- Stability of cross-market bivariate return distributions during financial turbulence
Research in International Business and Finance, 2018, 45, (C), 389-401
2017
- Co-integration of Sukuk and Bond Yields - Evidence from Globally Placed Sukuk
Journal of Management Sciences, 2017, 4, (1), 106-115 View citations (1)
- External Debt Management in Pakistan: A Market-Based Assessment
Lahore Journal of Economics, 2017, 22, (Special Edition), 25-51
2016
- 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 View citations (2)
2014
- Are there nonlinear speculative bubbles in commodities prices?
Journal of Post Keynesian Economics, 2014, 36, (3), 415-438 View citations (2)
- Macro-economic Policies and Energy Security—Implications for a Chronic Energy Deficit Country
The Pakistan Development Review, 2014, 53, (3), 255-273 View citations (2)
- Mitigating Vulnerability to Oil Price Risk— Applicability of Risk Models to Pakistan’s Energy Problem
The Pakistan Development Review, 2014, 53, (3), 293-308 View citations (2)
2013
- Foreign exchange risk in a managed float regime: A case study of Pakistani rupee
Economic Modelling, 2013, 35, (C), 409-417
- Human Development and Economic Uncertainties: Exploring Another Dimension of Development
Lahore Journal of Economics, 2013, 18, (Special Edition), 305-334
2012
- Risk Management in the Financial Services Sector—Applicability and Performance of VaR Models in Pakistan
The Pakistan Development Review, 2012, 51, (4), 399-417 View citations (2)
2011
- 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 View citations (4)
2010
- Emerging Markets and Stock Market Bubbles: Nonlinear Speculation?
Emerging Markets Finance and Trade, 2010, 46, (4), 23-40 View citations (8)
2009
- The Role of Satellite Stock Exchanges: A Case Study of the Lahore Stock Exchange
Lahore Journal of Economics, 2009, 14, (2), 1-47
2007
- Role of Securities Law in the Development of Domestic Corporate Bond Markets
SBP Research Bulletin, 2007, 3, 75-88 View citations (1)
2006
- Market Volatility, Manipulation, and Regulatory Response: A Comparative Study of Bombay and Karachi Stock Markets
The Pakistan Development Review, 2006, 45, (4), 1071-1083 View citations (4)
- 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 View citations (2)
1999
- Evidence of nonlinear speculative bubbles in pacific-rim stock markets
The Quarterly Review of Economics and Finance, 1999, 39, (1), 21-36 View citations (5)
- STOCK RETURNS VOLATILITY IN AN EMERGING MARKET: The Pakistani Evidence
Pakistan Journal of Applied Economics, 1999, 15, 19-40 View citations (3)
See also Working Paper Stock Returns Volatility in an Emerging Market: The Pakistani Evidence, MPRA Paper (1999) View citations (7) (1999)
1996
- Accessing International Capital: Pakistan’s Experience, Prospects, and Policy Implications
The Pakistan Development Review, 1996, 35, (4), 929-941
1993
- Downside Risk and Investment Choice
The Financial Review, 1993, 28, (4), 585-605 View citations (3)
- The Internationalisation of the Pakistani Stock Market: An Empirical Investigation
The Pakistan Development Review, 1993, 32, (4), 605-618 View citations (14)
Chapters
2014
- 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
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