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Molla Ramizur Rahman
Molla Ramizur Rahman
Assistant Professor; Indian Institute of Management Bodh Gaya
Подтвержден адрес электронной почты в домене iimbg.ac.in - Главная страница
Название
Процитировано
Процитировано
Год
Systemic risk-sharing framework of cryptocurrencies in the COVID–19 crisis
M Akhtaruzzaman, S Boubaker, DK Nguyen, MR Rahman
Finance Research Letters 47, 102787, 2022
902022
Is geopolitical risk interconnected? Evidence from Russian-Ukraine crisis
S Ahmed, R Assaf, MR Rahman, F Tabassum
The Journal of Economic Asymmetries 28, e00306, 2023
322023
Interrelationship among liquidity, regulatory capital and profitability-A study on Indian banks
S Roy, AK Misra, PC Padhan, MR Rahman
Cogent Economics & Finance 7 (1), 1664845, 2019
262019
On the prediction of systemic risk tolerance of cryptocurrencies
S Boubaker, S Karim, MA Naeem, MR Rahman
Technological Forecasting and Social Change 198, 122963, 2024
182024
Bank competition using networks: A study on an emerging economy
MR Rahman, AK Misra
Journal of Risk and Financial Management 14 (9), 402, 2021
142021
Investor sentiment index: a systematic review
S Prasad, S Mohapatra, MR Rahman, A Puniyani
International Journal of Financial Studies 11 (1), 6, 2022
132022
How does the time-varying dynamics of spillover between clean and brown energy ETFs change with the intervention of climate risk and climate policy uncertainty?
AK Banerjee, ZS Özer, MR Rahman, A Sensoy
International Review of Economics & Finance 93, 442-468, 2024
122024
Commonality in systemic risk from green and conventional energy
M Akhtaruzzaman, MR Rahman
Energy Economics, 107404, 2024
112024
The determinants of capital structure: Evidence from publicly listed companies in Malaysia, Singapore and Thailand. Cogent Economics & Finance, 5 (1), 1418609
JCP M'ng, M Rahman, S Sannacy
doi org/10 1080 (23322039), 20171418609, 2017
92017
Predicting systemic risk of banks: a machine learning approach
G Kumar, MR Rahman, A Rajverma, AK Misra
Journal of Modelling in Management 19 (2), 441-469, 2024
82024
Unravelling systemic risk commonality across cryptocurrency groups
MR Rahman, MA Naeem, L Yarovaya, S Mohapatra
Finance Research Letters, 105633, 2024
72024
Impact of banking sector competition on emerging market banks’ safety and soundness–A study on Indian Banks
S Mohapatra, AK Misra, MR Rahman
Cogent Economics & Finance 11 (1), 2216980, 2023
72023
Commonality in volatility among green, brown, and sustainable energy indices
AK Banerjee, A Sensoy, MR Rahman, A Palma
Finance Research Letters 64, 105384, 2024
52024
Analyzing the performance of a software and IT growth with special reference to India
MR Rahman
Information Systems Design and Intelligent Applications: Proceedings of …, 2016
52016
Assessing Commonality in Liquidity: Evidence from an Emerging Market’s Index Stocks
G Kumar, AK Misra, A Pant, MR Rahman
Global Business Review 25 (2), 302-322, 2024
42024
Interconnectedness in the FOREX market during the high inflation regime: A network analysis
S Ahmed, M Akhtaruzzaman, V Le, T Nath, MR Rahman
Research in International Business and Finance 71, 102467, 2024
32024
Mathematical study for reduction of variables in Karnaugh map
MR Rahman
Smart Computing and Informatics: Proceedings of the First International …, 2018
32018
Analysis of portfolio with public and private banking stocks in India—A study from 2011 to 2016
MR Rahman
2017 International Conference on Innovative Mechanisms for Industry …, 2017
32017
Software and graphical approach for understanding friction on a body
MR Rahman
Proceedings of the 3rd International Conference on Frontiers of Intelligent …, 2015
32015
Risk sharing framework and systemic tolerance in Indian banks: Double layer network approach
AK Banerjee, MR Rahman, AK Misra, A Sensoy
Research in International Business and Finance 73, 102636, 2025
12025
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