Decoding Energy Market Turbulence: A TVP-VAR Connectedness Analysis of Climate Policy Uncertainty and Geopolitical Risk Shocks DOI
Ling Liu, Mohamad Hassan Shahrour, Michal Wojewodzki

et al.

SSRN Electronic Journal, Journal Year: 2024, Volume and Issue: unknown

Published: Jan. 1, 2024

Language: Английский

Buffering cash flows for H₂ flows: Does financial stability benefit to hydrogen energy transition, storage, and carbon risks? DOI
Sajid Iqbal, Qingyu Zhang, Inam Ullah

et al.

International Journal of Hydrogen Energy, Journal Year: 2025, Volume and Issue: 120, P. 486 - 496

Published: March 29, 2025

Language: Английский

Citations

3

ESG Uncertainties and Valuation Implications: Evidence from the EU Banking Sector DOI

Jie Dou,

Nawazish Mirza, Muhammad Umar

et al.

Research in International Business and Finance, Journal Year: 2025, Volume and Issue: unknown, P. 102872 - 102872

Published: March 1, 2025

Language: Английский

Citations

1

Decoding energy market turbulence: A TVP-VAR connectedness analysis of climate policy uncertainty and geopolitical risk shocks DOI
Ling Liu, Mohamad Hassan Shahrour, Michal Wojewodzki

et al.

Technological Forecasting and Social Change, Journal Year: 2024, Volume and Issue: 210, P. 123863 - 123863

Published: Nov. 5, 2024

Language: Английский

Citations

4

ESG stock markets and clean energy prices prediction: Insights from advanced machine learning DOI Creative Commons

Fahmi Ghallabi,

Bilel Souissi, Min Du

et al.

International Review of Financial Analysis, Journal Year: 2024, Volume and Issue: unknown, P. 103889 - 103889

Published: Dec. 1, 2024

Language: Английский

Citations

4

The impact of climate change on credit portfolios and banking resilience: Preliminary evidence from a developing economy DOI
Muhammad Umar, Nawazish Mirza, Monica Violeta Achim

et al.

International Review of Financial Analysis, Journal Year: 2025, Volume and Issue: unknown, P. 104021 - 104021

Published: Feb. 1, 2025

Language: Английский

Citations

0

When Interest Rates Rise, ESG is still relevant – The Case of Banking Firms DOI

Ting-Ting Sun,

Nawazish Mirza, Muhammad Umar

et al.

Finance research letters, Journal Year: 2024, Volume and Issue: unknown, P. 106128 - 106128

Published: Sept. 1, 2024

Language: Английский

Citations

3

Understanding Financial Risk Dynamics: Systematic Literature Review inquiry into Credit, Market, and Operational Risks DOI Open Access

Muh Rizal S,

Muhammad Luthfi Siraj,

Syarifuddin Syarifuddin

et al.

ATESTASI Jurnal Ilmiah Akuntansi, Journal Year: 2024, Volume and Issue: 7(2), P. 1186 - 1213

Published: Aug. 14, 2024

This research delves into the intricate dynamics of financial risks—specifically credit, market, and operational risks—within banking, investment, corporate sectors, with a focus on both global Indonesian contexts. By examining key factors contributing to credit risk, impact market volatility stability, risks associated digital transformation sector, study seeks offer comprehensive analysis that is theoretically robust practically relevant. employs qualitative systematic literature review (SLR) explore within focusing The SLR process includes formulating questions, identifying screening relevant from databases like Scopus Google Scholar, synthesizing findings themes: risk dynamics, volatility, in age, integrated management. provides management Indonesia perspectives. reveals digitalization has significant enhancing efficiency but also increasing vulnerability cybersecurity threats disruptions. underscores need for frameworks address technology-driven challenges. highlights importance improving disclosure transparency, which can positively influence Liquidity identified as having greater short-term stability than necessitating proactive liquidity strategies. Technological innovations finance are found correlate increased risks, including failures threats, must be carefully managed. examines platform-based financing models investment In Indonesia, banking sector faces distinct challenges due high concentration systemic shocks, well rapid transformation. emphasizes necessity institutions implement measures, maintain resilient IT infrastructure, utilize advanced monitoring tools these emerging risks. stresses adopting account interdependencies between globalized market.

Language: Английский

Citations

1

Climate conditions, credit risk cycles, and technological progress: Evidence from China DOI

K. Chen,

Fangfei Teng,

Asif Razzaq

et al.

Technological Forecasting and Social Change, Journal Year: 2024, Volume and Issue: 210, P. 123893 - 123893

Published: Nov. 26, 2024

Language: Английский

Citations

1

Decoding Energy Market Turbulence: A TVP-VAR Connectedness Analysis of Climate Policy Uncertainty and Geopolitical Risk Shocks DOI
Ling Liu, Mohamad Hassan Shahrour, Michal Wojewodzki

et al.

SSRN Electronic Journal, Journal Year: 2024, Volume and Issue: unknown

Published: Jan. 1, 2024

Language: Английский

Citations

0