删除或更新信息,请邮件至freekaoyan#163.com(#换成@)

江西财经大学金融学院导师教师师资介绍简介-

本站小编 Free考研考试/2021-05-03

?
?Name: Badar Nadeem Ashraf
Sex: Male
Job title: Associate Professor
Graduated: Huazhong University of Science and Technology
Duties: Teaching/Research/Research supervision
Email: badar@jxufe.edu.cn




1.Education


[4] 2012.09-2015.06, Doctor in Business Administration (Accounting & Finance), Huazhong University of Science and Technology, Wuhan, China
[3] 2010.09-2012.06, Master in Economics, University of the Punjab, Lahore, Pakistan
[2] 2007.01-2010.06, CMA, Institute of Cost & Management Accountants of Pakistan, Islamabad, Pakistan
[1] 2003.09-2005.06. Bachelor of Arts, University of the Punjab, Lahore, Pakistan


2.Research Interests


Cryptocurrencies; blockchain technology;
Economic policy uncertainty;
Banking; financial institutions; financial regulations; law and finance; culture and finance; politics and finance;
Corporate governance; earnings management;


3.Major Research Publications


[30] The liquidity of major cryptocurrencies and stock markets: Are they connected? Under review in SSCI journal (with Muhammad Umar, Sultan Sikandar Mirza and Tong Fang Hua)

[29] The impact of board internationalization on accrual-based and real activities-based earnings management: Evidence from China, Under review in SSCI journal (with Mengxuan Liu)
[28] Capital regulation, deposit insurance and bank risk-taking behavior: international evidence from normal and crisis periods. Research in International Business and Finance, Under review after 1st revision (with Changjun Zheng, Lai Shaojie and Ningyu Qian) SSCI
[27] Economic policy uncertainty and banks’ loan pricing. Journal of Financial Stability, 2019, accepted and in press, (with Yinjie Shen) SSCI
[26] How do regulatory ability and bank competition affect the adoption of explicit deposit insurance scheme and banks’ risk-taking behavior? International Review of Economics and Finance, 2019, Vol (61), Pages 69-90, (with Ningyu Qian, Kezhong Zhang and Changjun Zheng) SSCI
[25] Zipf’s law, the coherence of the urban system and city size distribution: evidence from Pakistan. Physica A: Statistical Mechanics and its Applications, 2019, Vol (513), pages 87-103 (with Sidra Arshad and Shougeng Hu) SCI
[24] Dividend Policy and Bank Opacity. International Journal of Finance and Economic, 2018, Vol (23), Issue (2), pages 186-204 (with Viet-Dung TRAN) SSCI
[23] Do Better Political Institutions Help in Reducing Political Pressure on State-Owned Banks? Evidence from Developing Countries. Journal of Risk and Financial Management, 2018, Vol (11), Issue (3), 43 (with Sidra Arshad and Liang Yan) ESCI
[22] The Technical Efficiency of South Asian Commercial Banks and the Effects of Income Diversification. International Journal of Information and Management Sciences, 2018, Vol (29), Issue (3), Pages 279-302 (with Shoaib Nisar, Ke Peng) EI
[21] The Impact of Revenue Diversification on Bank Profitability and Stability: Empirical Evidence from South Asian Countries International Journal of Financial Studies, 2018, Vol (6), Issue (2: 40) ((with Shoaib Nisar, Ke Peng) ESCI
[20] Does Bank Diversification Heterogeneously Affect Performance and Risk-taking in ASEAN Emerging Economies? Research in International Business and Finance, 2018, Vol (46), pages 342-362 (with Syed Moudud-Ul-Huq and Changjun Zheng) SSCI
[19] Zipf’s law and city size distribution: a survey of the literature and future research agenda. Physica A: Statistical Mechanics and its Applications, 2018, Vol (492), pages 75-92 (with Sidra Arshad and Shougeng Hu) SCI
[18] Do trade and financial openness matter for financial development? Bank-level evidence from emerging market economies. Research in International Business and Finance, 2018, Vol (44), pages 434-458, SSCI
[17] Capital Requirements, the Cost of Financial Intermediation and Bank Risk-Taking: Empirical Evidence from Bangladesh. Research in International Business and Finance, 2018, Vol (44), pages 488-503 (with Muhammad Mizanur Rahman, Changjun Zheng and Mohammad Morshedur Rahman) SSCI
[16] Does the ownership structure matter for banks’ capital regulation and risk-taking behavior? Empirical evidence from a developing country. Research in International Business and Finance, 2017, Vol (42), pages 404-421 (with Changjun Zheng, Syed Moudud-Ul-Huq and Mohammad Morshedur Rahman) SSCI
[15] Political institutions and bank risk-taking behavior. Journal of Financial Stability, 2017, Vol (29), pages 13-35, SSCI
[14] Foreign bank subsidiaries’ risk-taking behavior: impact of home and host country national culture. Research in International Business and Finance, 2017, Vol (41), pages 318-335 (with Sidra Arshad) SSCI
[13] Trade openness and bank risk-taking behavior: Evidence from emerging economies. Journal of Risk and Financial Management, 2017, Vol (10), Issue (3), Pages 15 (with Sidra Arshad and Liang Yan) ESCI
[12] Capital regulation, the cost of financial intermediation and bank profitability: evidence from bangladesh, Journal of Risk and Financial Management, 2017, Vol (10), Issue (2), Pages 24 (with Changjun Zheng, Muhammad Mizanur Rahman and Mnnni Begum) ESCI
[11] Impact of Cost Efficiency on Bank Capital and the Cost of Financial Intermediation: Evidence from BRICS Countries. International Journal of Financial Studies, 2017, Vol (5), Issue (4), pages 18 (with Muhammad Mizanur Rahman, Changjun Zheng and Mnnni Begum) ESCI
[10] How to regulate bank dividends? Is capital regulation an answer? Economic Modelling, 2016, Vol (57), Pages 281-293 (with Bushra Bibi and Changjun Zheng) SSCI
[9] Effects of national culture on bank risk-taking behavior. Research in International Business and Finance, 2016, Vol (37), Pages 95-114 (with Changjun Zheng and Sidra Arshad) SSCI
[8] Capital regulation and bank risk-taking behavior: Evidence from Pakistan. International Journal of Financial Studies, 2016, Vol (4), Issue (3), pages 20 (with Sidra Arshad and Hu Yuancheng) ESCI
[7] China-Pakistan Economic Corridor (CPEC) and Capacity of Banking Sector of Pakistan. Management Accountant, 2016, Vol (25), Issue (2), pages 22-25
[6] Shareholder protection, creditor rights and bank dividend policies. China Finance Review International, 2015, Vol (5), Issue (2), Pages 135-150 (with Changjun Zheng) ESCI
[5] Regulatory hypothesis and bank dividend payouts: Empirical evidence from Italian banking sector. Journal of Financial Engineering, 2015, Vol (2), Issue (1), Pages 15001-15 (with Sidra Arshad and others) ESCI
[4] Bank size, risk-taking and capital regulation in Bangladesh. Eurasian Journal of Business and Economics, 2015, Vol (8), Pages 95-114 (with Mohammad Murshedur Rahman and Changjun Zheng)
[3] Impact of government spending on private consumption using ARDL approach. Asian Economic and Financial Review, 2015, Vol (5), Issue (2), Pages 239-248 (with Khalid Khan and others)
[2] National culture and dividend policy: International evidence from banking. Journal of Behavioral and Experimental Finance, 2014, Vol (3), Pages 22-40 (with Changjun Zheng)
[1] Trend and determinants of China’s OFDI in Asia. Journal of Economics and Sustainable Development , 2014, Vol. (5), Issue (22), Pages 110-12 (with Muhammad Abdul Kamal and others)


4.Awards


[5] “Best Thesis Supervision Award of the Year” from East China Jiao Tong University, China for the academic year 2018-19
[4] “Outstanding Reviewer Certificate” from the journal ‘Economic Modelling’ for the year 2016
[3] “2016 Emerald Outstanding Paper Literati Award for Excellence” (outstanding paper of the year) for the paper ‘Shareholder protection, creditor rights and bank dividend policies’ published in 2015 in the journal ‘China Finance Review International’
[2] “Best Paper Award” from ‘International Conference on Transnational Investment and Trade Relations between USA and Emerging-Market Economies’, 2015, October 29-31, Hubei University, Wuhan, China
[1] “Culture-exchange scholarship” of ‘Government of Pakistan’ for PhD 2012




















相关话题/江西财经大学 金融学院

  • 领限时大额优惠券,享本站正版考研考试资料!
    大额优惠券
    优惠券领取后72小时内有效,10万种最新考研考试考证类电子打印资料任你选。涵盖全国500余所院校考研专业课、200多种职业资格考试、1100多种经典教材,产品类型包含电子书、题库、全套资料以及视频,无论您是考研复习、考证刷题,还是考前冲刺等,不同类型的产品可满足您学习上的不同需求。 ...
    本站小编 Free壹佰分学习网 2022-09-19
  • 江西财经大学金融学院导师教师师资介绍简介-曹邓
    ?姓  名:曹邓性  别:女出生年月:政治面貌:中共党员毕业院校:江西财经大学毕业专业:管理学职  务:职  称:教授邮箱:laotoutou@aliyun.com自我简介一、开设课程:保险学原理、财产保险、保险中介管理、保险实务研究、商业保险理论与研究、财产保险理论与创新二、获得奖励:1996年获 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-陈家洪
    ?姓  名:陈家洪性  别:男出生年月:政治面貌:中共党员毕业院校:江西财经大学毕业专业:经济统计(证券研究方向)职  务:职  称:教授/硕导邮箱:jxmcjh@126.com自我简介一、开设课程:证券投资学、证券投资基金、投资管理、创业投资管理、私募股权投资、证券投资分析科研成果一、论文1.“从 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-陈春霞
    ?姓  名:陈春霞性  别:女出生年月:政治面貌:群众毕业院校:江西财经大学毕业专业:金融学职  务:职  称:教授/硕导邮箱:new9360@163.com自我简介开设课程本科生主讲的主要课程有:《货币银行学》、《国际金融》《金融企业会计》、《投资项目评估》、《项目融资》等;研究生主讲的主要课程有 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-桂荷发
    姓  名:桂荷发性  别:男出生年月:政治面貌:民进会员毕业院校:中国人民大学毕业专业:金融学职  务:院长职  称:教授邮箱:guihefa@163.com?自我简介桂荷发,1968年9月出生,江西余江人,经济学博士、教授、博士生导师,。毕业于中国人民大学财政金融学院金融学专业,获经济学博士学位。 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-冯凌秉
    ?姓  名:冯凌秉性  别:男出生年月:政治面貌:毕业院校:澳大利亚国立大学毕业专业:统计学职  务:职  称:助理教授自我简介教育背景:统计学博士,澳大利亚国立大学,2011-2015统计学硕士,中国人民大学,2009-2011经济学学士(统计学方向),中南财经政法大学,2005-2009法学学士 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-胡援成
    ?姓  名:胡援成性  别:男出生年月:政治面貌:党员毕业院校:厦门大学毕业专业:金融学职  务:中心主任职  称:教授/博导邮  箱:hu-yc@163.com自我简介一、开设课程:本科:国际金融管理;硕士研究生:公司金融;博士研究生:公司金融理论与政策,外文学术论著阅读与写作二、获得奖励:曾荣获 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-胡少勇
    ?姓  名:胡少勇性  别:男出生年月:政治面貌:中共党员毕业院校:华东师范大学毕业专业:精算学职  务:副院长职  称:副教授邮箱:**@qq.com自我简介胡少勇1979年7月生,汉族,江西进贤人,2012年博士毕业于华东师范大学金融统计学院精算学专业,2002年6月参加工作,2012年6月加入 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-蒋崇辉
    ?姓  名:蒋崇辉性  别:男出生年月:1980.9政治面貌:中共党员毕业院校:电子科技大学毕业专业:管理科学与工程(金融工程方向)职  称:教授职  务:金融工程系主任,博士生导师联系方式:jch0920@163.com自我简介1.教育和培训经历2014.5-2015.4:加拿大/温莎大学Odet ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-胡志军
    姓  名:胡志军性  别:男出生年月:政治面貌:中共党员毕业院校:上海财经大学毕业专业:数量经济学职  务:职  称:副教授自我简介教育背景2009.09-2013.06就读于上海财经大学经济学院数量经济学专业,获经济学博士学位;2006.09–2009.06就读于湘潭大学商学院数量经济学专业,获经 ...
    本站小编 Free考研考试 2021-05-03
  • 江西财经大学金融学院导师教师师资介绍简介-李思敏
    姓  名:李思敏性  别:男出生年月:政治面貌:中共党员毕业院校:毕业专业:职  务:系主任职  称:副教授邮箱:jxcdzqtzxlsm@126.com自我简介李思敏,男,1968年9月生,1992年参加工作,1995年加入中国共产党,现任江西财大金融学院证券投资系主任,江西财大金融学院证券期货研 ...
    本站小编 Free考研考试 2021-05-03