selected publications
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academic article
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Bhatti MFazal RSyaed Aziz URRehman AHussain A. Energy-environment-economy causal nexus in Pakistan: a graph theoretic approach.
Energy.
214:1-11.
2021
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Mansor FBhatti MRahman SDo HQ. The investment performance of ethical equity funds in Malaysia.
Journal of Risk and Financial Management.
13:1-14.
2020
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Azmat SAzad ASMSBhatti MGhaffar H. Islamic banking, costly religiosity, and competition.
Journal of Financial Research.
43:263-303.
2020
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Al-Malkawi HANBhatti MI. Are tests of dividend policy robust to estimation techniques: The case of an emerging economy?.
Physica A: Statistical Mechanics and its Applications.
541:1-6.
2020
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Bhatti MJaiswal SChaturvedi A. Bayesian inference for unit root in smooth transition autoregressive models and its application to OECD countries.
Studies in Nonlinear Dynamics and Econometrics.
2020
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Bhatti MParker S. Dynamics and drivers of per capita CO2 emissions in Asia.
Energy Economics.
89.
2020
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Do HQBhatti MIShahbaz M. Is 'Oil and Gas' Industry of ASEAN5 countries integrated with the US counterpart?.
Applied Economics.
52:4112-4134.
2020
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Bhatti MMisman F. The determinants of credit risk: An evidence from ASEAN and GCC Islamic banks.
Journal of Risk and Financial Management.
13.
2020
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Adeinat IAl Rahahleh NBhatti MI. Customer satisfaction with Ijarah financing.
Qualitative Research in Financial Markets.
11:227-243.
2019
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Al Rahahleh NBhatti MIMisman F. Developments in Risk Management in Islamic Finance: A Review.
Journal of Risk and Financial Management.
12.
2019
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Mansor FAl Rahahleh NBhatti MI. New Evidence on Fund Performance in Extreme Events.
International Journal of Managerial Finance.
15:511-532.
2019
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Khawaja MBhatti MIAshraf D. Ownership and control in a double decision framework for raising capital.
Emerging Markets Review.
41.
2019
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Bhatti MIDo H. Recent Development in Copula and its Applications to the Energy, Forestry and Environmental Sciences.
International Journal of Hydrogen Energy.
44:19453-19473.
2019
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Shrivastava AChaturvedi ABhatti MI. Robust Bayesian analysis of a multivariate dynamic model.
Physica A: Statistical Mechanics and its Applications.
528.
2019
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Zarei AAriff MBhatti MI. The impact of exchange rates on stock market returns: new evidence from seven free-floating currencies.
The European Journal of Finance.
25:1277-1288.
2019
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Torabi SAIzhar TATTorabi STBhatti MI. An application of the ontology based goal-framework in a higher education institution in Australia: A case study.
International Journal of Computer Information Systems and Industrial Management Applications.
9:43-59.
2017
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Li ASSoh BBhatti MIsmail R. Data-centric view of knowledge in information systems literature review.
International Journal of Services, Economics and Management.
7:111-123.
2016
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Bhatti MIDo HQKónya LIshaq Bhatti M. On asean capital market and industry integration: A review.
Corporate Ownership and Control.
13:8-22.
2016
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Bhatti MIIzhar TATTorabi SIshaq Bahti M. Probabilistic and deterministic data linkage for data goals model in relation to the organization goals.
The International Journal of Management Science and Information Technology.
59-78.
2016
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Bhatti MIAwan HMIshaq Bhatti MRazaq Z. Financial management: The impact of performance indicators on the organizational profitability.
Corporate Ownership and Control.
13:84-96.
2015
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Misman FNBhatti ILou WSamsudin SRahman NHA. Islamic Banks Credit Risk: A Panel Study.
Procedia Economics and Finance.
31:75-82.
2015
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Bhatti MIAhmed SAl-Otaibi K. A comparative study of ethical and conventional mutual funds using neural network forecasting.
Science International.
26:1-6.
2014
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Mansor FBhatti MI. TIMING AND INVESTMENT PERFORMANCE OF ISLAMIC MUTUAL FUNDS: A PANEL DATA ANALYSIS.
Science International.
26:2385-2393.
2014
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Tengku Izhar TTorabi SBhatti MLiu F. Analytical Dependency between Organisational goals and actions: Modelling concept..
International Proceedings of Computer Science and Information Technology.
36:297-302.
2012
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Bodla MABhatti MI. On the mismeasured non-nested tests for the errors-in-variables models.
Journal of Applied Statistical Science.
20:43-62.
2012
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Bhatti MIObeid HIshaq Bhatti M. The impact of stock exchange performance of selected French privatized firms.
Investment Management and Financial Innovations.
8:42-52.
2011
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Bhatti IMisman FN. Risks Exposure in Islamic Banks: A Case Study of Bank Islam Malaysia Berhad (BIMB)
2010
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Awan HMBhatti MIAli RQureshi A. How growth opportunities are related to corporate leverage decisions?.
Investment Management and Financial Innovations.
7:90-97.
2010
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Bhatti MBhatti MI. Toward Understanding Islamic Corporate Governance Issues in Islamic Finance.
Asian Politics and Policy.
2:25-38.
2010
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Awan HMBhatti MIBukharic KQureshi MA. Critical success factors of TQM: Impact on business performance of manufacturing sector in Pakistan.
International Journal of Business and Management Science.
1:187-203.
2008
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Bhatti MPriftakis P. A note on 'What drives share prices in the Middle East?.
The International Journal of Banking and Finance.
5:113-124.
2008
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Bhatti MKhan M. Guest editorial note on "Interest free banking and finance".
Managerial Finance.
34:608-609.
2008
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Bhatti M. The Sukak and the bonding of Islamic finance.
Monash Business Review.
6:17-18.
2007
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Bodla MBhatti M. Use of instrumental variablesd in non-nested EV-models.
Journal of Statistical Theory and Applications.
6:254-263.
2007
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Choudhury MBhatti M. Learning financial volatility..
International Journal of Applied Business and Economic Research.
4:165-174.
2006
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Bhatti MIAwan HMIshaq Bhatti M. An evaluation of ISO 9000 registration practices: a case study of sports goods industry.
Managerial Finance.
29:109-134.
2003
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BHATTI MBARRY A. Some Optimal Tests for the Equicorrelation Coefficient in Standard Symmetric Multivariate Normal Distribution.
Applied Mathematics and Computation.
75:269-285.
1996
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Bhatti MI. Optimal Testing for Serial Correlation in a Large Number of Small Samples.
Biometrical Journal: journal of mathematical methods in biosciences.
34:57-67.
1992
Full text if available
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Bhatti MFazal RSyaed Aziz URRehman AHussain A. Energy-environment-economy causal nexus in Pakistan: a graph theoretic approach.
Energy.
214:1-11.
2021
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book
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chapter
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Qadri HM-U-DBhatti MI. Concluding remarks on the growth of the IBF industry.
331-331.
2020
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Khawaja MBhatti MIIHenry D. On the role of ownership and governance structure in raising capital: A sukuk example.
50-76.
2020
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Ariff MZarei ABhatti MI. Pricing anomaly: Tale of two similar credit-rated bonds with different yields.
233-253.
2020
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Bhatti MIIAl Rahahleh NQadri H. Recent development in Islamic finance and financial products.
32-49.
2020
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Bhatti MIIQadri H. The growth of the Islamic finance and banking industry: An introductory note.
1-5.
2020
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Awan HMBhatti MIBukhari KS. Globalization and firm's quality orientation: a review of total quality management practices in manufacturing sector.
91-112.
2010
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Bhatti Mbhatti M. Legality of Corporate Governance in Islamic Finance.
25-38.
2010
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Bhatti M. On the Distribution of Bayesian Invariant Test for Structural Change..
237.
2001
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Qadri HM-U-DBhatti MI. Concluding remarks on the growth of the IBF industry.
331-331.
2020
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comment
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conference paper
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edited book
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editorial article
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Bhatti MAlam N. Editorial note on the role of Islamic finance in mainstream finance.
Managerial Finance.
44:646-647.
2018
Full text if available
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Bhatti MAlam N. Editorial note on the role of Islamic finance in mainstream finance.
Managerial Finance.
44:646-647.
2018
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report
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working paper