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Gazi Salah Uddin

Global rank #2378 97%

Institution: Linköpings Universitet

Primary Field: Energy (weighted toward more recent publications)

First Publication: 2011

Most Recent: 2024

RePEc ID: pud12 ↗

Publication Scores

Scores use coauthorship adjustment: α/n credit per paper, where n = number of authors. α = 2.01: calibrated so average adjusted count equals average raw count (a zero-sum adjustment).

Period S (4x) A (2x) B (1x) C (½x) Total
Last 5 Years 0.00 7.91 0.90 0.00 17.65
Last 10 Years 0.00 14.44 2.08 0.00 33.93
All Time 0.00 15.45 2.08 0.00 37.28

Publication Statistics

Raw Publications 49
Coauthorship-Adjusted Count 26.25

Publications (49)

Year Article Journal Tier Authors
2024 Real exchange rate and international reserves in the era of financial integration Journal of International Money and Finance B 5
2024 Sentiment and energy price volatility: A nonlinear high frequency analysis Energy Economics A 5
2024 Green targeted lending operations in the Euro Area Economics Letters C 3
2024 Volatility dynamics of agricultural futures markets under uncertainties Energy Economics A 5
2024 The role of uncertainty and sentiment for intraday volatility connectedness between oil and financial markets Energy Economics A 3
2023 On the effectiveness of foreign exchange reserves during the 2021-22 U.S. monetary tightening cycle Economics Letters C 4
2023 Exploring the critical demand drivers of electricity consumption in Thailand Energy Economics A 6
2023 How do energy markets react to climate policy uncertainty? Fossil vs. renewable and low-carbon energy assets Energy Economics A 6
2023 Risk network of global energy markets Energy Economics A 6
2023 A memory in the bond: Green bond and sectoral investment interdependence in a fractionally cointegrated VAR framework Energy Economics A 5
2023 Nonlinear and asymmetric interconnectedness of crude oil with financial and commodity markets Energy Economics A 3
2022 Connectedness of energy markets around the world during the COVID-19 pandemic Energy Economics A 4
2022 How connected is the agricultural commodity market to the news-based investor sentiment? Energy Economics A 4
2022 Regime specific spillovers across US sectors and the role of oil price volatility Energy Economics A 6
2022 Economic and social impacts of conflict: A cross-country analysis Economic Modeling C 3
2022 Market integration in the Australian National Electricity Market: Fresh evidence from asymmetric time-frequency connectedness Energy Economics A 5
2022 Comparing the Risk Spillover from Oil and Gas to Investment Grade and High-yield Bonds through Optimal Copulas The Energy Journal B 4
2022 Nonlinear tail dependence between the housing and energy markets Energy Economics A 5
2021 Nonlinear dependence and connectedness between clean/renewable energy sector equity and European emission allowance prices Energy Economics A 6
2021 The dynamics and elasticities on the U.S. natural gas market. A Bayesian Structural VAR analysis Energy Economics A 3
2021 Green credit policy and firm performance: What we learn from China Energy Economics A 5
2021 The effect of temperature anomaly and macroeconomic fundamentals on agricultural commodity futures returns Energy Economics A 5
2021 Can clean energy stock price rule oil price? New evidences from a regime-switching model at first and second moments Energy Economics A 5
2020 Commodities price cycles and their interdependence with equity markets Energy Economics A 4
2020 Impact of food price volatility on the US restaurant sector Applied Economics C 5
2020 Economic policy uncertainty shocks, economic activity, and exchange rate adjustments Economics Letters C 3
2020 The role of underground storage in the dynamics of the US natural gas market: A threshold model analysis Energy Economics A 2
2020 On the intraday dynamics of oil price and exchange rate: What can we learn from China and India? Energy Economics A 6
2019 Analysing the systemic risk of Indian banks Economics Letters C 4
2019 Enhancing the predictability of crude oil markets with hybrid wavelet approaches Economics Letters C 4
2019 Cross-quantilogram-based correlation and dependence between renewable energy stock and other asset classes Energy Economics A 4
2019 Role of renewable energy on industrial output in Canada Energy Economics A 4
2018 Bank capital shocks and countercyclical requirements: Implications for banking stability and welfare Journal of Economic Dynamics and Control B 3
2018 Uncertainties and extreme risk spillover in the energy markets: A time-varying copula-based CoVaR approach Energy Economics A 4
2018 Renewable energy, oil prices, and economic activity: A Granger-causality in quantiles analysis Energy Economics A 3
2018 Multivariate dependence and spillover effects across energy commodities and diversification potentials of carbon assets Energy Economics A 4
2018 Supply and demand driven oil price changes and their non-linear impact on precious metal returns: A Markov regime switching approach Energy Economics A 4
2018 Multi-scale causality and extreme tail inter-dependence among housing prices Economic Modeling C 4
2018 Connectedness network and dependence structure mechanism in green investments Energy Economics A 4
2017 Cross-country determinants of economic policy uncertainty spillovers Economics Letters C 4
2017 Black swan events and safe havens: The role of gold in globally integrated emerging markets Journal of International Money and Finance B 4
2017 The role of trade openness and investment in examining the energy-growth-pollution nexus: empirical evidence for China and India Applied Economics C 4
2016 The short-term persistence of international mutual fund performance Economic Modeling C 4
2016 On the dynamic dependence between equity markets, commodity futures and economic uncertainty indexes Energy Economics A 2
2015 The relation between fees and return predictability in the mutual fund industry Economic Modeling C 4
2015 Remittance and domestic labor productivity: Evidence from remittance recipient countries Economic Modeling C 4
2014 On the causal nexus of remittances and poverty reduction in Bangladesh Applied Economics C 2
2013 The causal nexus between financial development and economic growth in Kenya Economic Modeling C 3
2011 Energy and output dynamics in Bangladesh Energy Economics A 2