Mohammad Najand

Affiliations: 
Old Dominion University, Norfolk, VA, United States 
Area:
Finance, General Business Administration
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"Mohammad Najand"
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Publications

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Yousefi H, Najand M. (2022) Geographical diversification using ETFs: Multinational evidence from COVID-19 pandemic. International Review of Financial Analysis. 83: 102261
Griffith J, Najand M, Shen J. (2020) Emotions in the Stock Market Journal of Behavioral Finance. 21: 42-56
Sun L, Meng L, Najand M. (2017) The Role of U.S. Market on International Risk-Return Tradeoff Relations The Financial Review. 52: 499-526
Shen J, Najand M, Dong F, et al. (2017) News and Social Media Emotions in the Commodity Market Review of Behavioral Finance. 9: 148-168
Sun L, Najand M, Shen J. (2016) Stock Return Predictability and Investor Sentiment: A High-Frequency Perspective Journal of Banking and Finance. 73: 147-164
Caliskan D, Najand M. (2016) Stock market returns and the price of gold Journal of Asset Management. 17: 10-21
Alkulaib YA, Najand M, Mashayekh A. (2009) Dynamic linkages among equity markets in the Middle East and North African countries Journal of Multinational Financial Management. 19: 43-53
Alsubaie A, Najand M. (2009) Trading volume, time-varying conditional volatility, and asymmetric volatility spillover in the Saudi stock market Journal of Multinational Financial Management. 19: 139-159
Alsubaie A, Najand M. (2009) Abnormal trading volume and autoregressive behavior in weekly stock returns in the Saudi stock market Emerging Markets Review. 10: 207-225
Najand M, Griffith JM, Marlett D. (2007) Do Life Insurance Stocks Provide Superior Returns Journal of Asset Management. 8: 52-57
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