1
2022
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1
Ayub, U., Noreen, U., Qaddus, U., Shafique, A., & Jadoon, I. A,,''Calmness instead of panicking: a reverse strategy to fight a crocodile attack using downside risk'',Journal of Modelling in Management,2022.
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2
2022
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2
Noreen, U., Shafique, A., Ayub, U., & Saeed, S. K.,,''Does the Adaptive Market Hypothesis Reconcile the Behavioral Finance and the Efficient Market Hypothesis?.'',Risks,2022.
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3
2021
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3
Ashfaq, S., Ayub, U., Mujtaba, G., Raza, N., & Gulzar, S,,''Gainers and losers with higher order portfolio risk optimization'',Physica A: Statistical Mechanics and its Applications,2021.
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4
2021
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4
Jadoon, I. A., Ali, A., Ayub, U., Tahir, M., & Mumtaz, R,,''The impact of sustainability reporting quality on the value relevance of corporate sustainability performance'',Sustainable Development,2021.
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5
2021
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5
Jadoon, I. A., Noreen, U., Ayub, U., Tahir, M., & Shahzadi, N,,''Shahzadi, N. (2021). The Impact of Family Ownership on Quality and Disclosure of Internal Control in Pakistan'',Sustainability,2021.
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6
2021
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6
Jadoon, I. A., Mumtaz, R., Sheikh, J., Ayub, U., & Tahir, M.,,''The impact of green growth on financial stability.'',Journal of Financial Regulation and Compliance,2021.
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7
2020
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7
Ayub, U., Kausar, S., Noreen, U., Zakaria, M., & Jadoon, I. A.,,''Downside riskbased six-factor capital asset pricing model (CAPM): A new paradigm in asset pricing'',Sustainability,2020.
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8
2019
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8
Gulzar, S., Mujtaba Kayani, G., Xiaofen, H., Ayub, U., & Rafique, A,,''Financial cointegration and spillover effec t of global financial crisis: A study of emerging Asian financial markets'',Economic research-Ekonomska istraživanja,2019.
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9
2019
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9
JJan, N. & Ayub, U.,,''Do the Fama and French Five-Factor CAPM forecast well using ANN?'',Journal of Business Economics and Management,2019.
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10
2019
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10
Shafique, A., Ayub, U., & Zakaria, M,,''Don’t let the Greed catch you! Pleonexia rule applied to Pakistan stock exchange.'',Physica A: Statistical Mechanics and its Applications,2019.
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11
2019
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11
Kiyani, S, Ayub, U. & Jadoon, I. A,,''Testing the Adaptive Market Hypothesis Using Artificial Neural Networks Evidence from Pakistan'',Global Regional Review,2019.
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12
2014
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12
Usman Ayub,Syed Zulfiqar Ali Shah,Qaisar Abbas''Robust analysis for downside risk in portfolio management for a volatile stock market'',Economic Modelling,2014.
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13
2013
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13
Mohammad Tahir,Qaisar Abbas,Shahid Mehmmod Sargana''An Investigation of Beta and Downside Beta Based CAPM-Case Study of Karachi Stock Exchange'',American Journal of Scientific Research,2013.
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14
2013
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14
Syed Kashif Saeed,Khalid Riaz,Usman Ayub''Financial Contagion in South Asia: An Egarch Approach'',American Journal of Scientific Research,2013.
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15
2011
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15
Usman Ayub,Dr. Qaiser Abbas,Syed Kashif Saeed''Lower Partial Moments-Proxy of Downside Risk'',INTERDISCIPLINARY JOURNAL OF CONTEMPORARY RESEARCH IN BUSINESS,2011.
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16
2011
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16
Dr.Qaiser Abbas,Usman Ayub,Syed Kashif Saeed''CAPM-Exclusive Problems Exclusively Dealt'',INTERDISCIPLINARY JOURNAL OF CONTEMPORARY RESEARCH IN BUSINESS,2011.
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17
2011
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17
Saad Aslam,Zeeshan Hamid,Usman Ayub''Employees’ Perception of Annual Confidential Report and Performa nce Management System: Case Study of Zarai Tarakiati Bank Limited'',INTERDISCIPLINARY JOURNAL OF CONTEMPORARY RESEARCH IN BUSINESS,2011.
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18
2011
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18
Qaiser Abbas,Usman Ayub,Shahid Mehmmod Sargana''From Regular-Beta CAPM to Downside-Beta CAPM'',European Journal of Social Sciences,2011.
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19
2011
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19
Syed Kashif Saeed,Shahid Mehmood Sargana,Usman Ayub''Are Equity markets Efficient? Evidence from Emerging Economy'',INTERDISCIPLINARY JOURNAL OF CONTEMPORARY RESEARCH IN BUSINESS,2011.
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20
2011
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20
Syed Kashif Saeed,Shahid Mehmood Sargana,Usman Ayub''Dynamic Stochastic General Equilibrium Models: A Tool for Monetary Policy in Light of Lucas Critique'',Middle Eastern Finance and Economics,2011.
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