Faculty Profile

Dr. Salman Khan

Assistant Professor

Academic

Joined LUMS in 2011 as Assistant Professor, Dr. Salman holds Ph.D. in Finance from I.A.E, Graduate School of Business, University Aix Marseille, France. His research interests primarily focus on investment and portfolio management. Presently, he is working in the area of liquidity and liquidity risk(s). His teaching interests spread over 5 years with local as well as international exposure in the area of Investment and Portfolio Management (IPM), Corporate Finance, Risk Management, Entrepreneurial Finance, Finance for Managers and Financial Econometrics using participant-centered learning methods. He has developed a dedicated trading center at SDSB with an objective to bring practical trading and portfolio management complexities in the class. 

His earlier professional experience spans over a period of 5 years’ comprising two years of experience in long-term credit and leasing department at PICIC (c/o NIB) investment bank and three years in Securities & Exchange Commission of Pakistan (SECP) as Assistant Director. At SECP he was rigorously involved in the stock market and intermediaries’ analysis and regulation, Corporate Governance, IFRS and Voluntary Pension Scheme.

 

    • Article
      • Khan, S. & Seyyed, F. (2016). Pakistan's First Successful Launch of a Real Estate Investment Trust - Dolmen City REIT (A Shariah Compliant Rental REIT Scheme). Asian Journal of Management Cases.
      • Khan, S. (2015). Kalam: A Sustainable gift. Asian Journal of Management Cases.
      • Khan, S. (2014). Impact of sources of finance on the growth of SMEs: evidence from Pakistan. Decisions.
      • Khan, S. (2012). Government Intervention in Russian Bourse: A Case of Financial Contagion. Journal of Financial Economic Policy.
      • Khan, S. (2011). Should the government directly intervene in stock market during a crisis?. Quarterly Review of Economics and Finance.
TitleSemesterCode
Economic Environment and Business RiskFall Semester 2014-151401
Intermediate FinanceSpring Semester 2014-151402
Portfolio ManagementSpring Semester 2014-151402
Entrepreneurial FinanceSpring Semester 2014-151402
Investments Theory and Financial MarketsSpring Semester 2014-151402
Senior Project IFall Semester 2015-161501
Economic Environment and Business RiskFall Semester 2015-161501
Senior Project in Accounting and FinanceFall Semester 2015-161501
Intermediate FinanceSpring Semester 2015-161502
Portfolio ManagementSpring Semester 2015-161502
Entrepreneurial FinanceSpring Semester 2015-161502
Investments Theory and Financial MarketsSpring Semester 2015-161502
Senior Project in Accounting and FinanceSpring Semester 2015-161502
Intermediate FinanceSpring Semester 2016-171602
Portfolio ManagementSpring Semester 2016-171602
Entrepreneurial FinanceSpring Semester 2016-171602
Investments Theory and Financial MarketsSpring Semester 2016-171602
Senior Project in Accounting and FinanceSpring Semester 2016-171602
Intermediate FinanceFall Semester 2017-181701
  • Past Courses
    TitleSemesterCode
    Intermediate FinanceSpring Semester 2011-121102
    EconometricsSpring Semester 2011-121102
    Economic Environment and Business RiskFall Semester 2012-131201
    Intermediate FinanceSpring Semester 2012-131202
    Portfolio ManagementSpring Semester 2012-131202
    Entrepreneurial FinanceSpring Semester 2012-131202
    Intermediate FinanceFall Semester 2013-141301
    Senior Project IFall Semester 2013-141301
    Finance for ManagersFall Semester 2013-141301
    Economic Environment and Business RiskFall Semester 2013-141301
    Independent Study -ISpring Semester 2013-141302
    Portfolio ManagementSpring Semester 2013-141302
    Entrepreneurial FinanceSpring Semester 2013-141302
    Directed Research ProjectSpring Semester 2013-141302