Faculty Profile

Dr. Choudhry Tanveer Shehzad

Associate Professor

Suleman Dawood School of Business

Dr. Tanveer Shehzad is Associate Professor in Finance at Suleman Dawood School of Business of Lahore University of Management Sciences. His research is focused on strategic and competitive issues faced by firms operating in developing countries, macroeconomic challenges faced by Pakistan, empirical analysis of corporate finance theories, risk-taking behavior of financial firms, supervision and regulation of banks, banking crises, sovereign credit ratings and financial reform.

His research has been published in reputed journals like Review of Finance, Journal of Banking and finance, Applied Economics, Journal of International Financial Markets, Institutions & Money and North American Journal of Economics and Finance. He has presented his research in a number of international conferences. Additionally, he is a referee for international journals like Journal of Banking and Finance, Applied Economics and European Journal of Political Economy among others.

He holds a PhD from University of Groningen, the Netherlands and is a Certified Financial Risk Manager from GARP (USA). Before joining LUMS he worked at the Central Bank of Pakistan. He tweets at @ctshehzad.

    • Article
      • Tanveer Shahzad, C. & de Haan, J. (2016). Supervisory Powers and Bank Risk-Taking. Journal of International Financial Markets, Institutions & Money.
      • Jens, F. & Tanveer Shehzad, C. (2014). The Conditional Effects of Market Power on Bank Risk – A Cross-Country Evidence. Review of Finance.
      • Tanveer Shahzad, C., de Haan, J. & Scholtens, B. (2013). The Relationship between Size, Growth, and Profitability of Commercial Banks. Applied Economics.
      • Tanveer Shahzad, C. & de Haan, J. (2013). Is 2007 Financial Crisis Universal?. North American Journal of Economics and Finance.
      • Tanveer Shahzad, C., de Haan, J. & Scholtens, B. (2010). The Impact of Bank Ownership Concentration on Impaired Loans and Capital Adequacy. Journal of Banking & Finance.
    • PaperI
      • Tanveer Shahzad, C. (2015). Millat Tractor Limited Valuation: A Shariah-Compliant Investment Opportunity. NACRA 2015, ., United States of America.
      • Tanveer Shahzad, C. (2014). Dairy business. Top Ten Business Opportunities for Women, Lahore, Pakistan.
      • Tanveer Shahzad, C. (2013). Supervisory Power and Bank Risk-Taking. Netherlands Bank, Amsterdam, Netherlands.
      • Tanveer Shahzad, C. (2013). The Conditional Effect of Market Power on Bank Risk Taking. Brown Bag Seminar, Lahore, Pakistan.
      • Tanveer Shahzad, C. (2013). Sovereign Rating Changes and European Stock Markets. European Integration, Molle, Sweden.
      • Tanveer Shahzad, C. (2012). Bank Earnings Volatility during Financial Crises. International Finance and Banking Society, Valencia, Spain.
      • Tanveer Shahzad, C. (2011). s 2007 Financial Crisis Universal?. Annual Meeting of Swiss Society of Economics and Statistics, Lucerne, Switzerland.
      • Tanveer Shahzad, C. (2011). Bank Competition and Risk Taking: An Empirical Analysis. Swedish Network for European Studies in Economics and Business, 13th Annual Conference, Molle, Spain.
      • Tanveer Shahzad, C. (2010). The impact of bank regulation and supervision on bank soundness. Symposium on Frontiers in Financial Research (SFFR), Athens, Greece.
      • Tanveer Shahzad, C. (2010). The impact of bank regulation and supervision on bank soundness. DNB Seminar, Amsterdam, Netherlands.
      • Tanveer Shahzad, C. (2009). Financial Liberalization and Banking Crises. CERES Summer School, Nijmegen, Netherlands.
      • Tanveer Shahzad, C. (2009). Financial Liberalization and Banking Crises. Royal Economic Society Annual Meeting at University of Surrey, Surrey, United Kingdom.
      • Tanveer Shahzad, C. (2009). Bank Size Income Composition and Earning Volatility. Irish Economic Association Annual Meeting, Ireland, Ireland.
      • Tanveer Shahzad, C. (2009). Growth and Earnings Persistence in Banking Firms: A Dynamic Panel Investigation. European Banking Symposium, Maastricht, Netherlands.
      • Tanveer Shahzad, C. (2009). Financial Liberalization and Banking Crises. 2nd International Financial Research Forum, France, France.
      • Tanveer Shahzad, C. (2009). Bank Size Income Composition and Earning Volatility. SOM PhD Conference, Groningen, Netherlands.
      • Tanveer Shahzad, C. (2009). Financial Liberalization and Banking Crises. Annual Congress of European Economic Association, barcelona, Spain.
      • Tanveer Shahzad, C. (2008). Bank Ownership Concentration and Loan Quality. at XVII International Tor Vergata Conference on Banking and Finance, Rome, Italy.
      • Tanveer Shahzad, C. (2008). Financial Liberalization and Banking Crises. XVII International Tor Vergata Conference on Banking and Finance, Rome, Italy.
      • Tanveer Shahzad, C. (2008). Bank Ownership Concentration and Loan Quality. ESRC Seminar on Corporate Governance, Birmingham, United Kingdom.
      • Tanveer Shahzad, C. (2008). Financial Liberalization and Banking Crises. SOM PhD conference at University of Groningen, Groningen, Netherlands.
      • Tanveer Shahzad, C. (2008). Financial Liberalization and Banking Crises. Brown Bag Seminar at University of Groningen, Groningen, Netherlands.
      • Tanveer Shahzad, C. (2008). Banking Liberalization: Dimensions and determinants. SOM PhD conference, University of Groningen, Groningen, Netherlands.
Semester Title Code
Spring Semester 2017-18 Intermediate Finance 1702
Fall Semester 2017-18 Doctoral Thesis Research 1701
Summer Semester 2016-17 Doctoral Thesis Research 1603
Spring Semester 2016-17 Doctoral Thesis Research 1602
Spring Semester 2016-17 International Finance 1602
Fall Semester 2016-17 Macroeconomic Environment and Business 1601
Fall Semester 2016-17 Managerial Economics 1601
Fall Semester 2016-17 Doctoral Thesis Research 1601
Fall Semester 2016-17 Intermediate Finance 1601
Summer Semester 2015-16 Doctoral Thesis Research 1503
Spring Semester 2015-16 Doctoral Thesis Research 1502
Spring Semester 2015-16 Managerial Economics 1502
Spring Semester 2015-16 International Finance 1502
Spring Semester 2014-15 Corporate Finance 1402
Spring Semester 2014-15 Managerial Economics 1402
Spring Semester 2014-15 International Finance 1402
  • Past Courses
    Semester Title Code
    Spring Semester 2013-14 Managerial Economics 1302
    Spring Semester 2013-14 International Finance 1302
    Fall Semester 2013-14 Commercial Banking 1301
    Fall Semester 2013-14 Senior Project I 1301
    Fall Semester 2012-13 Risk Management and Shareholder's Value in Banks 1201
    Fall Semester 2012-13 Principles of Macroeconomics 1201
    Fall Semester 2012-13 Managerial Economics 1201
    Term I 2011-2012 Commercial Banking 1110
    Term I 2011-2012 Managerial Economics 1110
    Fall Semester 2011-12 Intermediate Finance 1101
    Term I 2010-2011 Managerial Economics 1010
    Fall Semester 2010-11 Principles of Microeconomics 1001
    Fall Semester 2010-11 Principles of Economics 1001