Dr Muhammad Saeed Meo

Dr Muhammad Saeed Meo

  • Senior Lecturer
Department of Economics & Finance

Academic & Professional Qualifications

PhD in Financial Analysis and Policy, Universiti Utara Malaysia, Malaysia (2022)
MPhil in Commence and Finance, Superior University, Pakistan (2016)
M.Com Master in Commerce, Superior University, Pakistan (2014)
B.Com Bachelor in Commerce, Punjab University, Pakistan (2012)

Research Interests

  • Financial Econometrics
  • Financial Economics
  • Sustainable Finance
  • Applied Finance
  • Sustainability

Teaching Areas

  • Financial Accounting
  • Portfolio Investment
  • International Finance
  • Time Series Econometrics
  • Business Research Methods
  • Quantitative Technique in Business

Courses Taught

  • International Finance
  • Financial Statement Analysis

Notable Publications

  1. Cao, L., Jin, D., Ali, S., Meo, M. S., & Nazar, R. (2024). Risk and retraction: asymmetric nexus between monetary policy uncertainty and eco-friendly investment. Stochastic Environmental Research and Risk Assessment, 1-19.
  2. Özkan, O., Meo, M. S., & Younus, M. (2024). Unearthing the hedge and safe-haven potential of green investment funds for energy commodities. Energy Economics, 138, 107814.
  3. Liu, X., Ali, S., Nazar, R., & Meo, M. S. (2024). Sustainability in shaky times: analysing the resilience of green bonds amid economic policy uncertainty. Stochastic Environmental Research and Risk Assessment, 1-18.
  4. Meo, M. S., Jameel, K., Chowdhury, M. A. F., & Ali, S. (2023). Islamic financial markets response to uncertainty: an application of quantile-on-quantile approach. Journal of Economic and Administrative Sciences, 39(4), 1088-1107.
  5. Aloui, C., Meo, M. S., Hamida, H. B., & Chowdhury, M. A. F. (2023). Bitcoin connectedness to traditional asset-classes in times of COVID-19. International Journal of Trade and Global Markets, 18(4), 315-338.
  6. Meo, M. S., & Abd Karim, M. Z. (2022). The role of green finance in reducing CO2 emissions: An empirical analysis. Borsa Istanbul Review, 22(1), 169-178.
  7. Meo, M. S., Durani, F., Ali, S., Ademokoya, A. A., Nazar, R., & Raza, S. A. (2022). Performance of sectoral Islamic indices during COVID-19. International Journal of Trade and Global Markets, 16(4), 301-326.
  8. Chowdhury, M. A. F., Meo, M. S., Uddin, A., & Haque, M. M. (2021). Asymmetric effect of energy price on commodity price: New evidence from NARDL and time frequency wavelet approaches. Energy, 231, 120934.
  9. Chowdhury, M. A. F., Meo, M. S., & Aloui, C. (2021). How world uncertainties and global pandemics destabilized food, energy and stock markets? Fresh evidence from quantile on quantile regressions. International Review of Financial Analysis, 76, 101759.
  10. Chang, B. H., Meo, M. S., Syed, Q. R., & Abro, Z. (2019). Dynamic analysis of the relationship between stock prices and macroeconomic variables: An empirical study of Pakistan stock exchange. South Asian Journal of Business Studies, 8(3), 229-245.
     

Book

  1. Meo, M. S., & Staniewski, M. W. (2024). Green Bonds and Sustainable Finance: The Evolution of Portfolio Management in Conventional Markets. Taylor & Francis.