Tao, R., Su, C., Naqvi, B. & Rizvi & Rizvi, S. (2022). Can Fintech development pave the way for a transition towards low-carbon economy: A global perspective.. Technological Forecasting and Social Change.
Mirza, N., Rizvi, S., Saba, I., Naqvi & Naqvi, B. & Yarovaya, L. (2022). The resilience of Islamic equity funds during COVID-19: Evidence from risk adjusted performance, investment styles and volatility timing. International Review of Economics and Finance.
Wang, P., Han, W., Rizvi, S. & Naqvi & Naqvi, B. (2022). Is Digital Adoption the way forward to Curb Energy Poverty?. Technological Forecasting and Social Change.
Shahbaz, M., Rizvi, S., Dong, K. & Vo & Vo, V. (2022). Fiscal decentralization as new determinant of renewable energy demand in China: The role of income inequality and urbanization.. Renewable Energy.
He, X., Gokmenoglu, K., Kirikkaleli, D. & Rizvi & Rizvi, S. (2021). Co-movement of foreign exchange rate returns and stock market returns in an emerging market: evidence from the wavelet coherence approach. International Journal of Finance & Economics.
Umar, M., Rizvi, S. & Naqvi, B. (2021). Dance with the Devil? The Nexus of Fourth Industrial Revolution, Technological Financial Products and Volatility Spillovers in Global Financial System. Technological Forecasting and Social Change.
Yang, J., Rizvi, S., Tan, Z., Umar & Umar, M. & Koondhar, M. (2021). The competing role of natural gas and oil as fossil fuel and the non-linear dynamics of resource curse in Russia.. Resources Policy.
Umar, M., Su, W., Rizvi, S. & Shao & Shao, X. (2021). Bitcoin: A Safe Haven Asset and a Winner Amid Political and Economic Uncertainties in the US?. Technological Forecasting and Social Change.
Umar, M., Mirza, N., Rizvi, S. & Furqan & Furqan, M. (2021). Asymmetric volatility structure of equity returns: Evidence from an emerging market. Quarterly Review of Economics and Finance.
Naqvi, B., Mirza, N., Rizvi, S., Porada-Rochon & Porada-Rochon, M. & Itani, R. (2021). Is there a green fund premium? Evidence from twenty seven emerging markets.. Global Finance Journal.
Rizvi, S., Naqvi, B. & Mirza, N. (2021). Is green investment different from grey? Return and volatility spillovers between green and grey energy ETFs.. Annals of Operations Research.
Hasnaoui, J., Rizvi, S., Reddy, K., Mirza & Mirza, N. & Naqvi, B. (2021). Human capital efficiency, performance, market, and volatility timing of asian equity funds during COVID-19 outbreak.. Journal of Asset Management.
Zhan, Z., Naqvi, B., Rizvi, S. & Cai & Cai, X. (2021). How exchange rate regimes are exacerbating or mitigating the resource curse. Resources Policy.
Zhan, Z., Naqvi, B., Rizvi, S. & Cai & Cai, X. (2021). How exchange rate regimes are exacerbating or mitigating the resource curse. Resources Policy.
Li, J., Naqvi, B., Rizvi, S. & Chang & Chang, H. (2021). Bitcoin: The biggest financial innovation of fourth industrial revolution and a portfolio's efficiency booster.. Technological Forecasting and Social Change.
Li, z., Rizvi, S., Rubbaniy, G. & Umar & Umar, M. (2021). Understanding the dynamics of resource curse in G7 countries: The role of natural resource rents and the three facets of financial development.. Resources Policy.
Li, Z., Rizvi, S., Rubbaniy, G. & Umar & Umar, M. (2021). Understanding the dynamics of resource curse in G7 countries: The role of natural resource rents and the three facets of financial development.. Resources Policy.
Ji, X., Mirza, N., umar, M. & Rizvi & Rizvi, S. (2021). The impact of carbon neutrality on the investment performance: Evidence from the equity mutual funds in BRICS.. Journal of Environmental Management.
Li, Z., Rizvi, S., Rubbaniy, G. & Umar & Umar, M. (2021). Understanding the dynamics of resource curse in G7 countries: The role of natural resource rents and the three facets of financial development. Resources Policy.
Li, J., Naqvi, B., Rizvi, S. & Chang & Chang, H. (2021). Bitcoin: The Biggest Financial Innovation of Fourth Industrial Revolution and A Portfolio's Efficiency Booster.. Technological Forecasting and Social Change.
Rizvi, S. & Itani, R. (2021). Oil Market Volatility: Comparison of COVID-19 crisis with the SARS outbreak of 2002 and the Global Financial Crisis of 2008. Economic Research-Ekonomska Istrazivanja.
Umar, M., Su, W., Rizvi, S. & Lobont & Lobont, O. (2021). Driven by Fundamentals or Exploded by Emotions: Detecting Bubbles in Oil Prices.. Energy.
Rubbaniy, G., Polyzos, S., Rizvi, S. & Tessema & Tessema, A. (2021). COVID-19, Lockdowns and herding towards a cryptocurrency market-specific implied volatility index.. Economics Letters.
Rizvi, S. & Itani, R. (2021). Oil market volatility: comparison of COVID-19 crisis with the SARS outbreak of 2002 and the global financial crisis of 2008.. Economic Research-Ekonomska Istrazivanja.
Mirza, N., Naqvi, B., Rahat, B. & Rizvi & Rizvi, S. (2020). Price Reaction, Volatility Timing and Funds' Performance during Covid-19. Finance Research Letters.
Naqvi, B., Rizvi, S. & Shahzad, A. (2020). Selection of Retirement Saving Plan for a Private Sector Employee in Pakistan. Asian Journal of Management Cases.
Rizvi, S., Wang, L., Chang, L. & Sari & Sari, A. (2020). Are eco-innovation and export diversification mutually exclusive to control carbon emissions in G-7 countries?. Journal of Environmental Management.
Rizvi, S., Mirza, N., Naqvi, B. & Rahat & Rahat, B. (2020). Impact of Covid-19 on Corporate Solvency and Possible Policy Responses in EU. Journal of Asset Management.
Wei, H., Rizvi, S., Ahmad, F. & Zhang & Zhang, Y. (2020). Resource cursed or resource blessed? The role of investment and energy prices in G7 countries.. Resources Policy.
Mirza, N., Hasnaoui, J., Naqvi, B. & Rizvi & Rizvi, S. (2020). The impact of human capital efficiency on Latin American mutual funds during Covid-19 outbreak. Swiss Journal of Economics and Statistics.
Wang, L., Chang, L., Rizvi, S. & Sari & Sari, A. (2020). Are eco-innovation and export diversification mutually exclusive to control carbon emissions in G-7 countries?. Journal of Environmental Management.
Rizvi, S., Mirza, N., Naqvi, B. & Rahat & Rahat, B. (2020). Impact of Covid-19 on Corporate Solvency and Possible Policy Responses in EU. Quarterly Review of Economics and Finance.
Mirza, N., Naqvi, B., Rahat, B. & Rizvi & Rizvi, S. (2020). Price Reaction, Volatility Timing and Funds' Performance during Covid-19.. Finance Research Letters.
Khalid, K., Su, W. & Rizvi, S. (2020). Guns and Blood : A Review of Geopolitical Risk and Defence Expenditures.. Defence and Peace Economics.
Hussain, M., Ye, W., Usman, M., Mir & Mir, M. & Rizvi, S. (2020). Re-investigation of the resource curse hypothesis: The Role of political institutions and energy prices in BRIC countries.. Resources Policy.
Su, C., Qin, M., Rizvi, S. & Umar & Umar, M. (2020). Bank Competition in China: A Blessing or a Curse for Financial System?. Economic Research-Ekonomska Istrazivanja.
Yarovaya, L., Mirza, N., Rizvi, S., Saba & Saba, I. & Naqvi, B. (2020). The Resilience of Islamic Equity Funds during COVID-19: Evidence from Risk Adjusted Performance, Investment Styles and Volatility Timing.. SSRN ELECTRONIC JOURNAL.
Khan, K., Su, C. & Rizvi, S. (2020). A Review of Geopolitical Risk and Defence Expenditures. Defence and Peace Economics.
Yarovaya, L., Mirza, N., Rizvi, S. & Naqvi & Naqvi, B. (2020). COVID-19 Pandemic and Stress Testing the Eurozone Credit Portfolios.. SSRN ELECTRONIC JOURNAL.
Wang, L., Chang, H., Rizvi, S. & Sari & Sari, A. (2020). Are eco-innovation and export diversification mutually exclusive to control carbon emissions in G-7 countries?. Journal of Environmental Management.
Umar, M., Rizvi, S. & Naqvi, B. (2020). Dance with the devil? The nexus of fourth industrial revolution, technological financial products and volatility spillovers in global financial system.. Technological Forecasting and Social Change.
Su, C., Qin, M., Rizvi, S. & Umar & Umar, M. (2020). Bank competition in China: a blessing or a curse for financial system?. Economic Research-Ekonomska Istrazivanja.
Rizvi, S., Mirza, N., Naqvi, B. & Rahat & Rahat, B. (2020). Covid-19 and asset management in EU: a preliminary assessment of performance and investment styles.. Journal of Asset Management.
Mirza, N., Naqvi, B., Rahat, B. & Rizvi & Rizvi, S. (2020). Impact of Covid-19 on Corporate Solvency and Possible Policy Responses in the EU. Quarterly Review of Economics and Finance.
Mirza, N., Hasnaoui, J., Naqvi, B. & Rizvi & Rizvi, S. (2020). The impact of human capital efficiency on Latin American mutual funds during Covid-19 outbreak. Swiss Journal of Economics and Statistics.
Hussain, M., Ye, Z., Usman, M., Mir & Mir, G. & Rizvi, S. (2020). Guns and Blood: A Review of Geopolitical Risk and Defence Expenditures. Resources Policy.
Hussain, M., Ye, Z., Usman, M., Mir & Mir, G. & Rizvi, S. (2020). e-investigation of the resource curse hypothesis: The role of political institutions and energy prices in BRIC countries. Resources Policy.
Rizvi, S., Khan, M. & Sadiq, R. (2018). Disintermediation of Banks in a Developing Economy – Profitability and Depositor protection in Adverse Economic Conditions. Managerial Finance.
Naqvi, B., Rizvi, S., Uqaili, H. & Chaudhry & Chaudhry, M. (2018). What enables Islamic Banks to contribute in global financial reintermediation?. Pacific-Basin Finance Journal.
Naqvi, B., Rizvi, S., Mirza, N. & Reddy & Reddy, K. (2018). Religion Based Investing and Illusion of Islamic Alpha and Beta. Pacific-Basin Finance Journal.
Rizvi, S., Naqvi, B. & Tanveer, F. (2018). Is Pakistan Ready to Embrace Fintech Innovation?. Lahore Journal of Economics.
Rizvi, S., Naqvi, B. & Tanveer, F. (2017). Mobile Banking: A Potential Catalyst for Financial Inclusion and Growth in Pakistan. Lahore Journal of Economics.
Rizvi, S., Naqvi, B., Mirza, N. & Bordes & Bordes, C. (2017). Fear of Floating in Asia and the Credibility of True Floaters?. Research in International Business and Finance.
Naqvi, B., Mirza, N., Naqvi, A. & Rizvi & Rizvi, S. (2017). Portfolio Optimization with Higher Moments of Risk at Pakistan Stock Exchange. Economic Research-Ekonomska Istrazivanja.
Rizvi, S., Naqvi, B. & Tanveer, F. (2017). A Potential Catalyst for Financial Inclusion and Growth in Pakistan.. Lahore Journal of Economics.
Rizvi, S., Rubbaniy, G., Naqvi, B. & Hartog & Hartog, D. (2015). Does Continental Trading Co-Move? A Pre, Post and Amid Financial Crisis Analysis of CDS, Stock and Bond Markets.. Journal of International Finance and Economics.
Rizvi, S., Naqvi, B., bordes, C. & Mirza & Mirza, N. (2014). Inflation Volatility: An Asian Perspective. Economic Research-Ekonomska Istrazivanja.
Rizvi, S., Naqvi, B. & Mirza, N. (2014). Being "Afraid of Float" to "Benign Neglect", A Jolting Ride of SBP on the Roller Coaster of Exchange Rate Regime.. Lahore Journal of Economics.
Rubbaniy, G., Asmeron, R., Rizvi, S. & Mirza & Mirza, N. (2014). Do Fear Indices Help Predict Stock Returns.. Quantitative Finance.
Mirza, N., Saeed, S. & Rizvi, S. (2013). The Pricing of Size, Book to Market and Financial Leverage in Euro Stocks. Economic Research-Ekonomska Istrazivanja.
Rizvi, S., Naqvi, B. & Bordes, C. (2013). Time Varying Equity Market Beta as an Index of Financial Openness?. Applied Financial Economics.
Rizvi, S., Naqvi, B. & Mirza, N. (2013). Choice of Anchor Currencies and Dynamic Preferences for Exchange Rate Pegging in Asia. Lahore Journal of Economics.
Rizvi, S., Naqvi, B. & Rizavi, S. (2012). What Does Pakistan Have to Join Inflation Targeters Club, A Royal Flush or A Seven-Deuce Offsuit?. Lahore Journal of Economics.
Rizvi, S. & Naqvi, B. (2010). Asymmetric Behavior of Inflation Uncertainty and Friedman-Ball Hypothesis: Evidence from Pakistan.. The Lahore Journal of Economics.
Rizvi, S., Reddy, K., Mirza, N. & Naqvi & Naqvi, B. (2021). Human Capital Efficiency, Performance, Market and Volatility Timing of Asian Equity Funds During Covid 19 Outbreak.
Rizvi, S., Naqvi, B. & Mirza, N. (2021). ) How Green is Different from Grey? Return and Volatility Spillovers of Green Energy Vs Conventional Energy ETFs.
Rizvi, S. (2021). How Green is Different from Grey? Return and Volatility Spillovers of Green Energy Vs Conventional Energy ETFs.
Rizvi, S., Naqvi, B. & Chaudhry, M. (2021). Corporate Bond Market and Impossible Trinity in Asia.
Rizvi, S., Naqvi, B. & Ahmad, F. (2021). Beyond Variance Covariance Matrix: Asset Selection Using Multi-Dimensional Decision-Making Criteria.
Rashid, M., Rizvi, S. & Naqvi, B. (2020). ARE Chartered Financial Analyst Generating CFA Alpha.
Rizvi, S., Naqvi, B. & Rashid, M. (2020). ARE Chartered Financial Analyst Generating CFA Alpha (Study of Professional Investment Qualification and its role in Mutual Fund's performance).
Rizvi, S., Naqvi, B. & Tabassam, S. (2020). A Nexus of Single Stock Futures, Market Efficiency and Volatility Dynamics: An Emerging Market's Perspective.
Dawood, H. & Rizvi, S. (2020). Are Systematically Important Banks Really.
Tabassam, S. & Rizvi, S. (2020). A Nexus of Single Stock Futures, Market Efficiency and Volatility Dynamics: An Emerging Market's Perspective.
Rizvi, S. & Dawood, H. (2020). Are Systematically Important Banks Really.
Rizvi, S., Naqvi, B., Reddy, K. & Mirza & Mirza, N. (2018). Human Capital Efficiency, Performance, Market and Volatility Timing of Asian Equity Funds During Covid 19 Outbreak.
Rizvi, S., Naqvi, B. & Mirza, N. (2016). Valuation of Pakistan Petroleum Limited (PPL) by using Real Options Approach.
Naqvi, B., Rizvi, S. & Mirza, N. (2016). Fatima Fertilizer: A Potential Security for Tundra Pakistanfond.