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Dr. Kashif Saleem
Dr. Kashif Saleem
University of Wollongong in Dubai (UOWD)
Verified email at uowdubai.ac.ae - Homepage
Title
Cited by
Cited by
Year
International linkage of the Russian market and the Russian financial crisis: A multivariate GARCH analysis
K Saleem
Research in International Business and Finance 23 (3), 243-256, 2009
1312009
Volatility spillovers between stock and currency markets: Evidence from emerging Eastern Europe
E Fedorova, K Saleem
22nd Australasian finance and banking conference, 2009
1112009
Pricing of global and local sources of risk in Russian stock market
K Saleem, M Vaihekoski
Emerging Markets Review 9 (1), 40-56, 2008
712008
The effects of the Paris climate agreement on stock markets: evidence from the German stock market
H Pham, V Nguyen, V Ramiah, K Saleem, N Moosa
Applied Economics 51 (57), 6068-6075, 2019
472019
Corporate governance quality, ownership structure, agency costs and firm performance. Evidence from an emerging economy
H Rashid Khan, WB Khidmat, OA Hares, N Muhammad, K Saleem
Journal of Risk and Financial Management 13 (7), 154, 2020
412020
Time-varying global and local sources of market and currency risks in Russian stock market
K Saleem, M Vaihekoski
International Review of Economics & Finance 19 (4), 686-697, 2010
352010
Modeling time varying volatility and asymmetry of Karachi stock exchange (KSE)
K Saleem
Available at SSRN 964898, 2007
322007
Time varying correlations between stock and bond returns: Empirical evidence from Russia
K Saleem
Asian Journal of Finance & Accounting 3 (1), 1, 2011
282011
Transmission of the subprime crisis: Evidence from industrial and financial sectors of BRIC countries
J Nikkinen, K Saleem, M Martikaine
Clute Institute, 2013
272013
Overinvestment, growth opportunities and firm performance: Evidence from Singapore stock market
S Farooq, S Ahmed, K Saleem
Corporate Ownership and Control 12 (3), 454-467, 2015
252015
Modeling long memory In the Russian stock market: Evidence from major sectoral indices
K Saleem
Journal of Applied Business Research (JABR) 30 (2), 567-574, 2014
202014
Risk analysis of high frequency precious metals returns by using long memory model
M Naeem, M Shahbaz, K Saleem, F Mustafa
Resources Policy 61, 399-409, 2019
172019
Islamic banks financial performance and implications of Basel III standards in the GCC: An empirical analysis
OM Al-Hares, K Saleem
Review of Economics & Finance 7 (1), 80-97, 2017
122017
Impact of Overinvestment & Underinvestment on Corporate Performance: Evidence from Singapore Stock Market
S Farooq, S Ahmed, K Saleem
Available at SSRN 2512436, 2014
82014
Market integration, return and volatility dynamics: empirical evidence from African stock markets
K Saleem, M Collan, S Ahmed, AK Gyasi
International Business Research 7 (9), 30-44, 2014
62014
Oil risk and asset returns: evidence from emerging markets in the middle east
J Nikkinen, K Saleem, M Martikainen, M Omran
Emerging Markets Finance and Trade 50 (sup3), 169-189, 2014
62014
Modeling time varying volatility and asymmetry of Karachi stock exchange
K Saleem
Department of Business Administration, Lappeenranta University of Technology …, 2007
62007
Regional integration: Evidence from Africa
K Saleem
African Journal of Business Management 7 (22), 2086, 2013
52013
Measuring the market efficiency of energy exchange-traded funds (ETFs)
K Saleem, O Al-Hares
Theoretical Economics Letters 8 (06), 1247, 2018
42018
Inflation Risk, Exchange Rate Risk and Asset Returns: Evidence from Korea, Malaysia and Taiwan
K Saleem
Exchange Rate Risk and Asset Returns: Evidence from Korea, Malaysia and …, 2010
42010
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