Imperatives of Financial innovation for Islamic banks AM Noman International Journal of Islamic Financial Services 4 (3), 2002 | 77 | 2002 |
Remittances and output in Bangladesh: an ARDL bounds testing approach to cointegration BP Paul, MGS Uddin, AM Noman International Review of Economics 58, 229-242, 2011 | 39 | 2011 |
Causality between stock and foreign exchange markets in Bangladesh AM Noman, S Humayun Kabir, OKMR Bashar Studies in Economics and Finance 29 (3), 174-186, 2012 | 22 | 2012 |
Remittances and banking sector development in South Asia AM Noman, GS Uddin International Journal of Banking and Finance 8 (4), 3, 2012 | 20 | 2012 |
Stationarity of South Asian real exchange rates under Exponential Star (ESTAR) framework AM Noman, MZ Rahman The Journal of Developing Areas 43 (2), 41-50, 2010 | 19 | 2010 |
Sustainability of external debt: further evidence from non-linear framework A Nasir, AM Noman International Review of Applied Economics 26 (5), 673-685, 2012 | 13 | 2012 |
Portfolio investment outflow and the complementary role of direct investment A Noman, MN Rahman, A Naka Journal of Financial Economic Policy 7 (3), 190-206, 2015 | 10 | 2015 |
Efficiency of the foreign exchange markets in South Asia AM Noman, MU Ahmed Afro-Asian Journal of Finance and Accounting 1 (4), 295-305, 2009 | 6 | 2009 |
Absence of the weekend effect and industry-style portfolios S Izadi, A Noman Journal of Financial Economic Policy 12 (4), 463-475, 2020 | 5 | 2020 |
Diversification of risk exposure through country mutual funds under alternative investment opportunities A Naka, A Noman The Quarterly Review of Economics and Finance 64, 215-227, 2017 | 5 | 2017 |
Predicting equity premium with adjusted dividend-price ratio: the USA and international evidence M Athari, A Naka, A Noman Review of Accounting and Finance 20 (3/4), 217-247, 2021 | 4 | 2021 |
Examining return predictability of industry style portfolios with prior return relative to a benchmark A Noman, A Naka, D Zirek The Quarterly Review of Economics and Finance 63, 193-203, 2017 | 4 | 2017 |
Subjective and Objective Financial Knowledge and Their Associations with Financial Risk Tolerance A Noman, L Chu, M Rahman Journal of Financial Counseling and Planning 34 (2), 219–237, 2023 | 3 | 2023 |
Commodity futures indexes and related exchange traded notes: Linear and nonlinear adjustment AM Noman, MN Rahman Journal of Derivatives & Hedge Funds 19, 189-207, 2013 | 3 | 2013 |
Savings and investment in South Asia: Evidence from likelihood ratio based panel cointegration ANM Wahid, M Salahuddin, AM Noman Journal of Economic Studies 37 (6), 658-666, 2010 | 3 | 2010 |
Premiums and returns of iPath exchange traded notes A Noman, A Naka Journal of Asset Management 16, 401-414, 2015 | 2 | 2015 |
Oil Market Factors as a Source of Commonality in Liquidity in International Equity Markets A Alhassan, A., Naka, A. and Noman Journal of Risk and Financial Management 14 (8), 1-33, 2021 | 1* | 2021 |
Predicting Return on Socially Responsible Investment Funds with Market Fundamental and Consumer Confidence. A Noman, A Naka, M Athari Banking & Finance Review 11 (2), 2019 | 1 | 2019 |
International diversification and return differential between the US and the foreign markets A Noman Review of Accounting and Finance 14 (4), 382-397, 2015 | 1 | 2015 |
Premium, tracking errors and performance of iShares Core versus ESG S&P ETFs A Noman Banking and Finance Review 14 (1), 25-37, 2023 | | 2023 |