Browsing All of EconStor by Author Shaik, Muneer
Showing results 1 to 4 of 4
Year of Publication | Title | Author(s) |
2018 | Expected lifetime range ratio to find mean reversion: Evidence from Indian stock market | Shaik, Muneer; Maheswaran, S. |
2019 | Volatility behavior of asset returns based on robust volatility ratio: Empirical analysis on global stock indices | Shaik, Muneer; Maheswaran, S. |
2021 | The short-term impact of COVID-19 on global stock market indices | Singh, Gurmeet; Shaik, Muneer |
2022 | What do we know about crowdfunding and P2P lending research? A bibliometric review and meta-analysis | Rabbani, Mustafa Raza; Bashar, Abu; Hawaldar, Iqbal Thonse; Shaik, Muneer; Selim, Mohammed |