معرفی
Md Akhtaruzzaman is an Associate Professor at the Peter Faber Business School within the Faculty of Law and Business. His research focuses on financial economics, corporate governance, climate risk management, and cryptocurrency analysis. He has published extensively on topics such as financial contagion, risk spillovers, and the impact of macroeconomic policies on financial markets.
Key research interests include the interplay between monetary policy and FinTech firms, board diversity's role in corporate sustainability, and hedging strategies involving precious metals and agricultural commodities. His work often addresses global crises, such as the implications of the 2020 pandemic on financial systems and emerging markets.
A recent trends in his publications highlight analyses of systemic risk in cryptocurrency markets, the efficacy of green investing for portfolio optimization, and the aftermath of banking collapses like Silicon Valley Bank. His research emphasizes empirical methods, including network analysis and textual news mining for yield behavior prediction.
No scientific awards are explicitly mentioned in the provided texts. His advising and grants information remains unspecified. Current affiliations include active contributions to journals like International Review of Financial Analysis and Journal of Accounting Literature.


