Faculty Profile

Dr. Syed Kumail Abbas Rizvi

Associate Professor

Suleman Dawood School of Business
      • Su, Y., Rizvi, S., Umar, M. & Chang & Chang, H. (2023). Unveiling the relationship between oil and green bonds: Spillover dynamics and implications.. Energy Economics.

      • Mirza, N., Rizvi, S. & Umar, M. (2023). Fiscal or monetary?Efficacy or regulatory regimes and energy trilemma of the inflation reduction act [IRA]. International Review of Financial Analysis.

      • Naqvi, B., Rizvi, S., Mirza, N. & Umar & Umar, M. (2023). Financial market development: A potentiating policy choice for the green transition in G7 economies.. International Review of Financial Analysis.

      • Bai, J., Han, Z., Rizvi, S. & Naqvi & Naqvi, B. (2023). Green trade or green technology? The way forward for G-7 economies to achieve COP 26 targets while making competing policy choices. Technological Forecasting and Social Change.

      • Mirza, N., Naqvi, B., Rizvi, S. & Boubaker & Boubaker, S. (2023). Exchange rate pass-through and inflation targeting regime under energy price shocks.. Energy Economics.

      • Alharbi, S., Al Mamun, M., Boubaker, S. & Rizvi & Rizvi, S. (2023). Green finance and renewable energy: A worldwide evidence.. Energy Economics.

      • Rizvi, S., Naqvi, B., Boubaker, S. & Mirza & Mirza, N. (In Press 2022). The power play of natural gas and crude oil in the move towards the financialization of the energy market. Energy Economics.

      • 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.

      • Su, C., Rizvi, S., Naqvi, B., Mirza & Mirza, N. & Umar, M. (2022). COVID19: A blessing in disguise for European stock markets?. Finance Research Letters.

      • Rizvi, S., Naqvi, B., Mirza, N. & Umar & Umar, M. (In Press 2022). Safe haven properties of green, Islamic, and crypto assets and investor's proclivity towards treasury and gold. Energy Economics.

      • Rizvi, S., Yarovaya, L., Mirza, N. & Naqvi & Naqvi, B. (2022). The impact of COVID-19 on the valuations of non-financial European firms. Heliyon.

      • Umar, M., Mirza, N., Rizvi, S. & Naqvi & Naqvi, B. (In Press 2022). ESG scores and target price accuracy: Evidence from sell-side recommendations in BRICS.. International Review of Financial Analysis.

      • 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.

      • 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.

      • Umar, M., Rubbaniy, G., Iqbal, A., Rizvi & Rizvi, S. & Xu, Y. (2022). Covid-19 and stock market liquidity: international evidence.. Economic Research-Ekonomska Istraživanja.

      • Naqvi, B., Rizvi, S., Hasnaoui, A. & Shao & Shao, X. (In Press 2022). Going beyond sustainability: The diversification benefits of green energy financial products. Energy Economics.

      • 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 Istraživanja.

      • Umar, M., Su, W., Rizvi, S. & Lobont & Lobont, O. (2021). Driven by Fundamentals or Exploded by Emotions: Detecting Bubbles in Oil Prices.. Energy.

      • 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.

      • 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.

      • 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.

      • 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.

      • 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.

      • Zhan, Z., Naqvi, B., Rizvi, S. & Cai & Cai, X. (2021). How exchange rate regimes are exacerbating or mitigating the resource curse. Resources Policy.

      • 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.

      • 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.

      • 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.

      • Naqvi, B., Mirza, N., Rizvi, S., Porada-Rochoń & Porada-Rochoń, M. & Itani, R. (2021). Is there a green fund premium? Evidence from twenty seven emerging markets. Global Finance Journal.

      • 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.

      • Ji, X., Zhang, Y., Mirza, N., Umar & Umar, M. & Rizvi, S. (2021). The impact of carbon neutrality on the investment performance: Evidence from the equity mutual funds in BRICS.. Journal of Environmental Management.

      • 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.

      • Yarovaya, L., Mirza, N., Rizvi, S. & Naqvi & Naqvi, B. (2020). COVID-19 Pandemic and Stress Testing the Eurozone Credit Portfolios.. SSRN ELECTRONIC JOURNAL.

      • 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.

      • Mirza, N., Rizvi, S., 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.

      • Naqvi, B., Rizvi, S. & Shahzad, A. (2020). Selection of Retirement Saving Plan for a Private Sector Employee in Pakistan. Asian Journal of Management Cases.

      • 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 Istraživanja.

      • 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.

      • Khalid, K., Su, W. & Rizvi, S. (2020). Guns and Blood : A Review of Geopolitical Risk and Defence Expenditures.. Defence and Peace Economics.

      • 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., Naqvi, B., Rahat, B. & Rizvi & Rizvi, S. (2020). Price Reaction, Volatility Timing and Funds' Performance during Covid-19. Finance Research Letters.

      • 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.

      • Hussain, M., Ye, W., Usman, M., Mir & Mir, G. & Rizvi, S. (2020). Re-investigation of the resource curse hypothesis: The Role of political institutions and energy prices in BRIC countries.. Resources Policy.

      • Rizvi, S., Naqvi, B. & Tanveer, F. (2018). Is Pakistan Ready to Embrace Fintech Innovation?. Lahore Journal of Economics.

      • Naqvi, B., Rizvi, S., Mirza, N. & Reddy & Reddy, K. (2018). Religion Based Investing and Illusion of Islamic Alpha and Beta. Pacific-Basin Finance Journal.

      • Naqvi, B., Rizvi, S., Uqaili, H. & Chaudhry & Chaudhry, M. (2018). What enables Islamic Banks to contribute in global financial reintermediation?. Pacific-Basin Finance Journal.

      • 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., Mirza, N., Naqvi, A. & Rizvi & Rizvi, S. (2017). Portfolio Optimization with Higher Moments of Risk at Pakistan Stock Exchange. Economic Research-Ekonomska Istraživanja.

      • 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. & Tanveer, F. (2017). 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.

      • 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. & 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.

      • Rizvi, S., Naqvi, B., bordes, C. & Mirza & Mirza, N. (2014). Inflation Volatility: An Asian Perspective. Economic Research-Ekonomska Istraživanja.

      • Rizvi, S., Naqvi, B. & Mirza, N. (2013). Choice of Anchor Currencies and Dynamic Preferences for Exchange Rate Pegging in Asia. Lahore Journal of Economics.

      • Mirza, N., Saeed, S. & Rizvi, S. (2013). The Pricing of Size, Book to Market and Financial Leverage in Euro Stocks. Economic Research-Ekonomska Istraživanja.

      • 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. & 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.