Muneer Shaik
Mahindra University, IFMR Graduate School of Business, Krea University, Institute for Financial Management and Research, Birla Institute of Technology and Science, JP Morgan Securities India Pvt Ltd
About
Dr. Muneer Shaik is an Associate Professor in the area of Economics & Finance at Mahindra University, School of Management. He has taught courses in finance for undergraduate, MBA, and Ph.D. level students. He acted as a resource person for various management development programs conducted for multinational corporates like RBS, Larsen & Toubro, Murugappa Group, and AstraZeneca. His teaching interests are in the area of corporate finance, financial time series analysis, computational finance, econometrics, financial data analytics, derivatives and risk management. He has published his research in reputed national and international peer-reviewed journals and presented at multiple conferences. Some of his research papers have won the best paper awards. He is open to collaborating and engaging in teaching, research, and consulting projects with both academia and industry.
Employment
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Mahindra University Assistant Professor2021 - Present
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IFMR Graduate School of Business, Krea University2015 - 2021
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JP Morgan Securities India Pvt Ltd2008 - 2013
Education
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Institute for Financial Management and Research Phd2013 - Present
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Birla Institute of Technology and Science M.Sc + B.E2003 - 2008
Projects & Funding
Projects & funding information is unavailable.
Publications (36)
- Bid‐Ask Spread Estimators: Current State, Gaps, and Future Research Agendas Save
- Predicting Financial Inclusion Save
- From Crude to Capital: Unveiling the Dynamic Interplay Between Oil Prices and African Stock Indices Save
- Decoding investment strategies across agricultural commodities, Islamic equities, and Sukuk markets Save
- Unveiling the impact of oil price shocks on global sukuk markets: a focus on quantile coherence and time-frequency connectedness Save
- The dynamic volatility connectedness of global financial assets during the Ebola & MERS epidemic and the COVID-19 pandemic Save
- The dynamic volatility nexus of geo-political risks, stocks, bond, bitcoin, gold and oil during COVID-19 and Russian-Ukraine war Save
- Revisiting the impact of geopolitical risk on Sukuk, stocks, oil and gold markets during the crises period: fresh evidence from wavelet-based approach Save
- An analysis of the Indian Economy during the three COVID-19 pandemic waves Save
- The global financial crisis impact on stock market efficiency: a Fourier unit root tests analysis Save