Browsing All of EconStor by Author Naveed, Muhammad
Showing results 1 to 6 of 6
Year of Publication | Title | Author(s) |
2019 | Dynamic modeling of systemic risk and firm value: A case of Pakistan | Hanif, Hasan; Naveed, Muhammad; Ur Rehman, Mobeen |
2020 | Extending the forward systemic risk measure: Do sector level variables matter? | Hanif, Hasan; Naveed, Muhammad; Ur Rehman, Mobeen |
2020 | Dynamic modeling of idiosyncratic risk under economic sensitivity: A case of Pakistan | Hanif, Hasan; Naveed, Muhammad |
2021 | Nexus between bank capital and risk-taking behaviour: Empirical evidence from US commercial banks | Abbas, Faisal; Ali, Shoaib; Moudud-Ul-Huq, Syed; Naveed, Muhammad |
2021 | Novel insights into banking risk structure: Empirical evidence from nexus of financial, governance, and industrial landscape through nested tested modeling | Fida, Sabtain; Naveed, Muhammad |
2022 | Is financial institutions' stability of BRICS block responsive to uncertain dimensions? | Aftab, Rehan; Naveed, Muhammad |