Associate Professor Dr Md Hamid Uddin


Academic Qualification

  • Doctor of Philosophy (Finance), NATIONAL UNIVERSITY OF SINGAPORE, Singapore
  • Master of Science (Management), NATIONAL UNIVERSITY OF SINGAPORE, Singapore
  • Master of Business Administration, UNIVERSITY OF DHAKA, Bangladesh
  • Bachelor of Commerce, UNIVERSITY OF DHAKA, Bangladesh

Professional Qualification

No records found

Areas of Expertise

  • Economics, Business And Management, Finance, Corporate Finance

Research Interest

No records found

Publications

2019
  • The Effect of Corporate Social Responsibility in the Environment of High Religiosity: An Empirical Study of Young Consumers (SCOPUS-Indexed), Social Responsibility Journal - Article in Journals
  • Sukuk and Bond Puzzle: An Analysis with Characteristics Matched Portfolios, Emerging Markets Finance and Trade - Article in Journals
  • Which Firms Do Prefer Islamic Debt? An analysis and evidence from global sukuk and bonds issuing firms, EMERGING MARKETS REVIEW - Article in Journals
2018
  • Sukuk as a Financial Asset: A review (SCOPUS-Indexed), Academy of Accounting and Financial Studies Journal - Article in Journals
  • Will a new global crisis starts in China?, Sputik International News Agency , Moscow - Digital Media
2016
  • Effect of Government Share Ownership on Corporate Risk Taking: Case of the United Arab Emirates. (SCOPUS-Indexed), Research in International Business and Finance - Article in Journals
  • Mutual Fund Rating and Efficiency. An Examination of Relationship, Accounting and Finance Research - Article in Journals
2015
  • Government Ownerships in Corporate Firms: An Empirical Study of the United Arab Emirates. (SCOPUS-Indexed), Corporate Ownership and Control - Article in Journals
2014
  • Performance of Government-Linked Companies Listed on two Stock Exchanges of United Arab Emirates An Empirical Study (ISI-Indexed), EMERGING MARKETS FINANCE AND TRADE - Article in Journals
2013
  • How Does an Islamic Microfinance Model Play the Key Role in Poverty Alleviation? The European Perspective - Book Chapter

Research

  • Cyber risk and bank stability: An empirical study,  Project Leader2017 to 2020, Taylor's University

Awards and Stewardship

  • Academic Mentor, Education, Taylor's University, Academic Mentor , 2018
  • ICHC 2018 Doctoral Workshops (Taylor's University), Services, Taylor's University, Coordinator , 2018
  • ICAEP 2017 Best Paper Award, Conference, University of Malaya (UM), Best Paper Award , 2017

Paper Presented

  • Socially Responsible Finance & Islamic Finance: Is there a Convergence? , Financial Management Association (FMA) Annual Meeting 2019 (CONFERENCE), PLEANARY/KEYNOTE SPEAKER , 23/10/2019 to 26/10/2019
  • Bank Stability and Cyber Technology Spending - An analysis and empirical evidence from global data, The 21st Malaysian Finance Association Conference 2019 (CONFERENCE), ORAL PRESENTER , 31/07/2019 to 01/08/2019
  • Common Risk Factors in the Return on Sukuk Investment , Malaysian Finance Association 2018 (CONFERENCE), ORAL PRESENTER , 01/08/2018 to 02/10/2018
  • Corporate Earnings Uncertainty in Islamic Banking System: An Analysis and Evidence, KFUPM 2017 Islamic Banking & Finance Research (CONFERENCE), INVITED SPEAKER , 19/11/2017 to 20/11/2017
  • Cybersecurity Risk and Banking Stability: A thematic review , Annual Financial Market Liquidity Conference 2018 (CONFERENCE), INVITED SPEAKER , 15/11/2018 to 16/11/2018
  • Issuing Sukuk or Bond: A theoretical analysis and evidence, JIFMIM Special Issue Symposium (Symposium), ORAL PRESENTER , 21/06/2018 to 23/10/2018
  • Which Firms Do Prefer Islamic Debt? An analysis and cross-country evidence, BAFA Corporate Finance and Asset Pricing Symposium (Symposium), ORAL PRESENTER , 05/07/2018 to 06/07/2018
  • Common Risk Factors in the Return on Sukuk Investment, British Accounting and Finance Association Annual Conference 2018 (CONFERENCE), ORAL PRESENTER , 09/04/2018 to 11/04/2018