Md Rajib Kamal
About
Md Rajib Kamal is a PhD candidate in Finance at NTNU Business School, Norwegian University of Science and Technology (NTNU), Norway. He pursued his MSc in Finance from Umeå University, Sweden with the prestigious Swedish Institute Scholarships for Global Professionals (SISGP) scholarship, funded by the Swedish government. Previously, he completed a Master of Business Administration (MBA) in Finance & Banking from Jahangirnagar University and a Bachelor of Business Administration in Agribusiness degree from Sher-e-Bangla Agricultutral University, Bangladesh.
Md Rajib Kamal's research focuses on the financial economics, corporate sustainability, asset pricing, climate finance etc. His publication has appeared in the European Financial Management, International Review of Financial Analysis, Pacific-Basin Finance Journal, Finance Research Letters, among others.
Research Interests:
- Corporate Finance
- Sustainable Finance
- Risk Management
- Climate Finance
- Asset Pricing
Publications
2023
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Kamal, Md Rajib;
Ahmed, Shaker;
Hasan, Mostafa Monzur.
(2023)
The impact of the Russia-Ukraine crisis on the stock market: Evidence from Australia.
Pacific-Basin Finance Journal
Academic article
-
Ali, Syed Riaz Mahmood;
Anik, Kaysul Islam;
Hasan, Mohammad Nurul;
Kamal, Md Rajib.
(2023)
Geopolitical threats, equity returns, and optimal hedging.
International Review of Financial Analysis
Academic article
-
Mensi, Walid;
Kamal, Md Rajib;
Vo, Xuan Vinh;
Kang, Sang Hoon.
(2023)
Extreme dependence and spillovers between uncertainty indices and stock markets: Does the US market play a major role?.
The North American journal of economics and finance
Academic article
-
Kamal, Md Rajib;
Wahlstrøm, Ranik Raaen.
(2023)
Cryptocurrencies and the threat versus the act event of geopolitical risk.
Finance Research Letters
Academic article
2022
-
Ahmed, Shaker;
Hasan, Mostafa Monzur;
Kamal, Md Rajib.
(2022)
Russia–Ukraine crisis: The effects on the European stock market.
European Financial Management
Academic article
2021
-
Kamal, Md Rajib;
Chowdhury, Mohammad Ashraful Ferdous;
Hosain, Md. Mozaffar.
(2021)
Stock market reactions of maritime shipping industry in the time of COVID-19 pandemic crisis: an empirical investigation.
Maritime Policy & Management
Academic article
Journal publications
-
Kamal, Md Rajib;
Ahmed, Shaker;
Hasan, Mostafa Monzur.
(2023)
The impact of the Russia-Ukraine crisis on the stock market: Evidence from Australia.
Pacific-Basin Finance Journal
Academic article
-
Ali, Syed Riaz Mahmood;
Anik, Kaysul Islam;
Hasan, Mohammad Nurul;
Kamal, Md Rajib.
(2023)
Geopolitical threats, equity returns, and optimal hedging.
International Review of Financial Analysis
Academic article
-
Mensi, Walid;
Kamal, Md Rajib;
Vo, Xuan Vinh;
Kang, Sang Hoon.
(2023)
Extreme dependence and spillovers between uncertainty indices and stock markets: Does the US market play a major role?.
The North American journal of economics and finance
Academic article
-
Kamal, Md Rajib;
Wahlstrøm, Ranik Raaen.
(2023)
Cryptocurrencies and the threat versus the act event of geopolitical risk.
Finance Research Letters
Academic article
-
Ahmed, Shaker;
Hasan, Mostafa Monzur;
Kamal, Md Rajib.
(2022)
Russia–Ukraine crisis: The effects on the European stock market.
European Financial Management
Academic article
-
Kamal, Md Rajib;
Chowdhury, Mohammad Ashraful Ferdous;
Hosain, Md. Mozaffar.
(2021)
Stock market reactions of maritime shipping industry in the time of COVID-19 pandemic crisis: an empirical investigation.
Maritime Policy & Management
Academic article
Knowledge Transfer
2022
-
Academic lectureKamal, Md Rajib; Ali, Syed Riaz Mahmood; Anik, Kaysul Islam; Wahlstrøm, Ranik Raaen. (2022) Go Green: Does macroeconomic uncertainty matter?. University of Birmingham Dubai, Florida Atlantic University Sustainable Financial Innovation Centre Annual Conference 2022 , Dubai, United Arab Emirates 2022-11-25 - 2022-11-26
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Academic lectureKamal, Md Rajib; Ali, Syed Riaz Mahmood; Anik, Kaysul Islam; Wahlstrøm, Ranik Raaen. (2022) Go Green: Does Macro Uncertainty Matter? . European Economics and Finance Society European Economics and Finance Society Twentieth Annual Conference , Krakow, Poland 2022-06-16 - 2022-06-19
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Academic lectureKamal, Md Rajib; Ahmed, Shaker; Hasan, Mostafa Monzur. (2022) Russia-Ukraine crisis: The effects on the European stock market . Centre for Banking and Finance, NTNU Business School, NTNU PhD Workshop in Banking and Finance , Trondheim, Norway 2022-05-24 -