Jamshed Iqbal

Assistant Professor

School of Accounting and Finance, Economics
firstname.lastname@univaasa.fi
Wolffintie 34, 65200 Vaasa
Tervahovi D208
Office Hours:
By appointment (email).

 

Thesis: Essays on the relationship between corporate governance mechanisms and risk-taking by financial institutions.

RESEARCH INTERESTS:

Empirical Corporate Finance

Corporate Governance in Financial Institutions

Executive Compensation

Corporate Social Responsibility

TEACHING:

LASK3018 - Investments (Seminars)

PUBLICATIONS:

Iqbal, J., & Vähämaa, S. (2018) "Managerial Risk-Taking Incentives and the Systemic Risk of Financial Institutions" Review of Quantitative Finance and Accounting, Forthcoming (PDF)

Iqbal, J., Strobl, S., & Vähämaa, S. (2015). "Corporate governance and the systemic risk of financial institutions", Journal of Economics and Business, Vol. 82, 42?61

Other Publications:

Bhatti, W. A., Hussain, N., & Iqbal, J. (2013). "Leadership Role in Integrating Knowledge Management Enablers", World Applied Sciences Journal, Vol. 26(1), 55?60

SELECTED WORKING PAPERS:

Ali, S., & Iqbal, J. (2018) "Corporate Governance and the Insolvency Risk of Financial Institutions" Proceedings of 29th Australasian Finance and Banking Conference, 2016 (SSRN). and Proceedings of International Finance and Banking Society, Saïd Business School, University of Oxford ? July 2017.

Iqbal, J. (2018) "CEO Pay-Share and Risk-taking in Large Bank Holding Companies" Proceedings of 57th Annual Meeting of Southwestern Finance Association, Albuquerque, New Mexico, March 2018

WORK IN PROGRESS:

Iqbal, J. (2018) "CEO Dominance and Insolvency Risk in Banks"

Ahmed, S., & Iqbal, J. (2018) "Corporate Governance and Bank Crash Risk"

Hussain, N., & Iqbal, J. (2018) "Corporate Governance Mechanisms and Corporate Social Responsibility"

Publications and expert tasks

» SoleCRIS Research Database