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Hafiz Hoque
Hafiz Hoque
Professor of Finance in Swansea University
Verified email at swansea.ac.uk - Homepage
Title
Cited by
Cited by
Year
A comparison of variance ratio tests of random walk: A case of Asian emerging stock markets
HAAB Hoque, JH Kim, CS Pyun
International Review of Economics & Finance 16 (4), 488-502, 2007
3262007
Bank regulation, risk and return: Evidence from the credit and sovereign debt crises
H Hoque, D Andriosopoulos, K Andriosopoulos, R Douady
Journal of banking & finance 50, 455-474, 2015
1382015
The determinants of share repurchases in Europe
D Andriosopoulos, H Hoque
International Review of Financial Analysis 27, 65-76, 2013
1312013
Co‐movement of Bangladesh stock market with other markets: Cointegration and error correction approach
H Al Asad Bin Hoque
Managerial Finance 33 (10), 810-820, 2007
992007
Information disclosure, CEO overconfidence, and share buyback completion rates
D Andriosopoulos, K Andriosopoulos, H Hoque
Journal of Banking & Finance 37 (12), 5486-5499, 2013
772013
Government response measures and public trust during the COVID‐19 pandemic: evidence from around the world
J Liu, Y Shahab, H Hoque
British Journal of Management 33 (2), 571-602, 2022
652022
Role of asymmetric information and moral hazard on IPO underpricing and lockup
H Hoque
Journal of International Financial Markets, Institutions and Money 30, 81-105, 2014
612014
Why firms favour the AIM when they can list on main market?
JA Doukas, H Hoque
Journal of International Money and Finance 60, 378-404, 2016
462016
Bank‐level and country‐level determinants of bank capital structure and funding sources
H Hoque, EK Pour
International Journal of Finance & Economics 23 (4), 504-532, 2018
352018
Capital structure of Islamic banks: How different are they from conventional banks?
H Hoque, H Liu
Global Finance Journal 54, 100634, 2022
312022
The choice and role of lockups in IPOs: Evidence from heterogeneous lockup agreements
H Hoque
Financial Markets, Institutions & Instruments 20 (5), 191-220, 2011
282011
Partial private sector oversight in China's A-share IPO market: An empirical study of the sponsorship system
H Hoque, S Mu
Journal of Corporate Finance 56, 15-37, 2019
242019
From the credit crisis to the sovereign debt crisis: Determinants of share price performance of global banks
H Hoque
International Review of Financial Analysis 30, 334-350, 2013
242013
Financial liberalization, financial development and economic growth: Evidence from Bangladesh
SH Kabir, HAAB Hoque
Savings and Development, 431-448, 2007
242007
Impact of bank regulation on risk of Islamic and conventional banks
H Hoque, H Liu
International Journal of Finance & Economics 28 (1), 1025-1062, 2023
222023
Islamic and conventional equity market movements during and after the financial crisis: Evidence from the newly launched MSCI indices
H Hoque, SH Kabir, EK Abdelbari, V Manahov
Financial Markets, Institutions & Instruments 25 (4), 217-252, 2016
222016
Return predictability and the ‘wisdom of crowds’: Genetic Programming trading algorithms, the Marginal Trader Hypothesis and the Hayek Hypothesis
V Manahov, R Hudson, H Hoque
Journal of International Financial Markets, Institutions and Money 37, 85-98, 2015
222015
Directors' dealing and post‐IPO performance
H Hoque, M Lasfer
European Financial Management 21 (1), 178-204, 2015
182015
Bank boards, CEO characteristics and performance: Evidence from large global banks during the crisis
H Hoque, G Muradoglu
Working paper, 2015
92015
Insider trading before IPO lockup expiry dates: The UK evidence
H Hoque, M Lasfer
Available at SSRN 1360883, 2009
92009
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