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Senior Lecturer MSS Econ Dhaka, PhD Financial Econ New Orleans
E-mail Address | M.H.Kabir@massey.ac.nz | Phone Number | +64 6 350 5799 ext 4742 | Room Number | SMAC 1.04(4) | | |
Kabir completed his PhD in Financial Economics from the University of New Orleans, USA in 2004, and recently joined the department. He has taught many courses in the area of Finance and Economics including corporate finance, investments (MBA), commercial banking, money and banking. He presented papers at the 2002 and 2003 FMA Annual Meetings. He teaches 125.781 Advance Financial Risk Management and 125.342 Investment Planning (for the GradDipBusStuds Personal Financial Planning endorsement). His research interest includes financial contagion, applied portfolio management, international finance, and derivative securities.
Kabir, H., and Hassan, K.
(2008) Russian Financial Crisis, US Financial Stock Returns and the IMF
Applied Financial Economics, Vol 19
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Humayun Kabir, M., & Kabir Hassan, M. (2005) The Near-Collapse Of LTCM, US Financial Stock Returns And The Fed Journal of Banking & Finance, Vol 29(2), pp. 441-460
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