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Economics and Finance

D-Index
51
Citations
7661
World Ranking
1338
National Ranking
30

Overview

Nawazish Mirza is affiliated with the Excelia Business School in France. Their research primarily spans the field of Economics, Econometrics, and Finance, with a particular focus on subfields including Economics and Econometrics, Finance, Accounting, General Economics, Econometrics and Finance, and Information Systems.

The main topics covered in Mirza's work include:

  • Energy, Environment, Economic Growth
  • Market Dynamics and Volatility
  • Financial Markets and Investment Strategies
  • COVID-19 Pandemic Impacts
  • Sustainable Finance and Green Bonds
  • Banking Stability, Regulation, Efficiency
  • Corporate Finance and Governance

Mirza's recent publications showcase a range of topics linked to finance, environmental management, and economic responses to crises. Some of the notable papers published by Mirza include:

  • Price reaction, volatility timing and funds' performance during Covid-19 (2020), Finance Research Letters

Frequent co-authors throughout Mirza's research career are:

  • Muhammad Umar
  • Syed Kumail Abbas Rizvi
  • Bushra Naqvi
  • Chi-Wei Su
  • Larisa Yarovaya

Mirza frequently publishes in several venues, with the most common being:

  • Resources Policy
  • Technological Forecasting and Social Change
  • SSRN Electronic Journal
  • Energy Economics
  • Finance Research Letters

In addition to articles, Mirza has contributed to book publications. A recently indicated book titled Sustainable Growth and Green Policies is set for release by World Scientific in 2025.

This profile reflects Mirza's interdisciplinary approach to economic and financial issues, particularly related to sustainability, energy, and market volatility.

Best Publications

  • The nexus of carbon emissions, financial development, renewable energy consumption, and technological innovation: What should be the priorities in light of COP 21 Agreements?

    Rong Wang;Nawazish Mirza;Dinara G. Vasbieva;Qaisar Abbas

  • Carbon neutrality, bank lending, and credit risk: Evidence from the Eurozone.

    Muhammad Umar;Xiangfeng Ji;Nawazish Mirza;Bushra Naqvi

  • The impact of carbon neutrality on the investment performance: Evidence from the equity mutual funds in BRICS.

    Xiangfeng Ji;Yusong Zhang;Nawazish Mirza;Muhammad Umar

  • Quantifying the hedge and safe-haven properties of bond markets for cryptocurrency indices

    Unknown

  • Price reaction, volatility timing and funds' performance during Covid-19.

    Nawazish Mirza;Bushra Naqvi;Birjees Rahat;Syed Kumail Abbas Rizvi

  • The impact of resource curse on banking efficiency: Evidence from twelve oil producing countries

    Muhammad Umar;Xiangfeng Ji;Nawazish Mirza;Birjees Rahat

  • Financial market development: A potentiating policy choice for the green transition in G7 economies

    Unknown

  • Human Capital efficiency and equity funds’ performance during the COVID-19 pandemic

    Larisa Yarovaya;Nawazish Mirza;Jamila Abaidi;Amir Hasnaoui

  • The role of fintech in promoting green finance, and profitability: Evidence from the banking sector in the euro zone

    Unknown

  • Covid-19 and asset management in EU: a preliminary assessment of performance and investment styles

    Syed Kumail Abbas Rizvi;Nawazish Mirza;Bushra Naqvi;Birjees Rahat

  • Interdependence of clean energy and green markets with cryptocurrencies

    Unknown

  • Green Banking—Can Financial Institutions support green recovery?

    Unknown

  • Impact of Covid-19 on Corporate Solvency and Possible Policy Responses in the EU.

    Nawazish Mirza;Birjees Rahat;Bushra Naqvi;Syed Kumail Abbas Rizvi

  • Is there a green fund premium? Evidence from twenty seven emerging markets

    Bushra Naqvi;Nawazish Mirza;Syed Kumail Abbas Rizvi;Małgorzata Porada-Rochoń

  • The impact of green lending on banking performance: Evidence from SME credit portfolios in the BRIC

    Unknown

  • The impact of fossil fuel divestments and energy transitions on mutual funds performance

    Unknown

  • The nexus of carbon emissions, oil price volatility, and human capital efficiency

    Unknown

  • Forecasting credit ratings of decarbonized firms: Comparative assessment of machine learning models

    Baojun Yu;Changming Li;Nawazish Mirza;Muhammad Umar

  • The impact of financial development on environmental sustainability: A European perspective

    Unknown

  • The impact of human capital efficiency on Latin American mutual funds during Covid-19 outbreak

    Nawazish Mirza;Jamila Abaidi Hasnaoui;Bushra Naqvi;Syed Kumail Abbas Rizvi

  • The resilience of Islamic equity funds during COVID-19: Evidence from risk adjusted performance, investment styles and volatility timing

    Nawazish Mirza;Syed Kumail Abbas Rizvi;Irum Saba;Bushra Naqvi

  • Sustainable energy goals and investment premium: Evidence from renewable and conventional equity mutual funds in the Euro zone

    Xiangfeng Ji;Xueqi Chen;Nawazish Mirza;Muhammad Umar

  • How does trade policy uncertainty affect agriculture commodity prices

    Ting-Ting Sun;Chi-Wei Su;Nawazish Mirza;Muhammad Umar

  • Comparative risk adjusted performance of Islamic, socially responsible and conventional funds: Evidence from United Kingdom

    Krishna Reddy;Nawazish Mirza;Bushra Naqvi;Mingli Fu

  • Does institutional quality and remittances inflow crowd-in private investment to avoid Dutch Disease? A case for emerging seven (E7) economies

    Chi-Wei Su;Tiezhu Sun;Shabbir Ahmad;Nawazish Mirza

  • The cryptocurrency uncertainties and investment transitions: Evidence from high and low carbon energy funds in China

    Lei Yan;Nawazish Mirza;Muhammad Umar

  • Is green investment different from grey? Return and volatility spillovers between green and grey energy ETFs

    Syed Kumail Abbas Rizvi;Bushra Naqvi;Nawazish Mirza

  • Does geopolitical risk uncertainty strengthen or depress cash holdings of oil enterprises? Evidence from China

    Kai-Hua Wang;De-Ping Xiong;Nawazish Mirza;Xue-Feng Shao

  • The Resilience of Islamic Equity Funds during COVID-19: Evidence from Risk Adjusted Performance, Investment Styles and Volatility Timing

    Larisa Yarovaya;Nawazish Mirza;Syed Kumail Abbas Rizvi;Syed Kumail Abbas Rizvi;Irum Saba

Frequent Co-Authors

Bushra Naqvi
Bushra Naqvi Lahore University of Management Sciences
Syed Kumail Abbas Rizvi
Syed Kumail Abbas Rizvi Lahore University of Management Sciences
Larisa Yarovaya
Larisa Yarovaya University of Southampton
Chi-Wei Su
Chi-Wei Su Qingdao University
Naoyuki Yoshino
Naoyuki Yoshino Keio University

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