Coronavirus (COVID-19)—An epidemic or pandemic for financial markets M Ali, N Alam, SAR Rizvi Journal of Behavioral and Experimental Finance 27, 100341, 2020 | 868 | 2020 |
COVID-19: Media coverage and financial markets behavior—A sectoral inquiry O Haroon, SAR Rizvi Journal of behavioral and experimental finance 27, 100343, 2020 | 686 | 2020 |
Deaths, panic, lockdowns and US equity markets: The case of COVID-19 pandemic AS Baig, HA Butt, O Haroon, SAR Rizvi Finance research letters 38, 101701, 2021 | 566 | 2021 |
Flatten the curve and stock market liquidity–an inquiry into emerging economies O Haroon, SAR Rizvi Research on Pandemics, 19-29, 2021 | 229 | 2021 |
An analysis of stock market efficiency: Developed vs Islamic stock markets using MF-DFA SAR Rizvi, G Dewandaru, OI Bacha, M Masih Physica A: Statistical Mechanics and its Applications 407, 86-99, 2014 | 219 | 2014 |
Stock market co-movements: Islamic versus conventional equity indices with multi-timescales analysis G Dewandaru, SAR Rizvi, R Masih, M Masih, SO Alhabshi Economic Systems 38 (4), 553-571, 2014 | 212 | 2014 |
Bank lending, deposits and risk-taking in times of crisis: A panel analysis of Islamic and conventional banks MH Ibrahim, SAR Rizvi Emerging Markets Review 35, 31-47, 2018 | 177 | 2018 |
Crises and contagion in Asia Pacific—Islamic v/s conventional markets SAR Rizvi, S Arshad, N Alam Pacific-Basin Finance Journal 34, 315-326, 2015 | 168 | 2015 |
Role of Islamic banks in Indonesian banking industry: an empirical exploration SAR Rizvi, PK Narayan, A Sakti, F Syarifuddin Pacific-Basin Finance Journal 62, 101117, 2020 | 147 | 2020 |
Do we need bigger Islamic banks? An assessment of bank stability MH Ibrahim, SAR Rizvi Journal of Multinational Financial Management 40, 77-91, 2017 | 140 | 2017 |
Intricacies of competition, stability, and diversification: Evidence from dual banking economies W Azmi, M Ali, S Arshad, SAR Rizvi Economic Modelling 83, 111-126, 2019 | 83 | 2019 |
Investigating stock market efficiency: A look at OIC member countries S Arshad, SAR Rizvi, GM Ghani, J Duasa Research in international business and finance 36, 402-413, 2016 | 80 | 2016 |
Do Islamic stock indices perform better than conventional counterparts? An empirical investigation of sectoral efficiency N Alam, S Arshad, SAR Rizvi Review of Financial Economics 31, 108-114, 2016 | 78 | 2016 |
Financial market risks during the COVID-19 pandemic O Haroon, M Ali, A Khan, MA Khattak, SAR Rizvi Emerging Markets Finance and Trade 57 (8), 2407-2414, 2021 | 74 | 2021 |
The impact of global financial shocks to Islamic indices: speculative influence or fundamental changes? S Arshad, SAR Rizvi مجلة التمويل الإسلامي 176 (814), 1-11, 2013 | 61 | 2013 |
How does crisis affect efficiency? An empirical study of East Asian markets SAR Rizvi, S Arshad Borsa Istanbul Review 16 (1), 1-8, 2016 | 60 | 2016 |
What factors explain stock market retardation in Islamic Countries G Dewandaru, SAR Rizvi, OI Bacha, M Masih Emerging Markets Review 19, 106-127, 2014 | 59 | 2014 |
Ramifications of varying banking regulations on performance of Islamic Banks N Alam, SSB Zainuddin, SAR Rizvi Borsa Istanbul Review 19 (1), 49-64, 2019 | 57 | 2019 |
An empirical study of Islamic equity as a better alternative during crisis using multivariate GARCH DCC SAR Rizvi, S Arshad Islamic Economic Studies 22 (1), 159-184, 2014 | 56 | 2014 |
Predicting the European stock market during COVID-19: A machine learning approach MA Khattak, M Ali, SAR Rizvi MethodsX 8, 101198, 2021 | 51 | 2021 |