Mohammad Enamul Hoque, DBA
Assistant Professor
Dr. Mohammad Enamul Hoque earned a Doctor of Business Administration (Major: Finance; Minor: Management) from Graduate School of Business, Universiti Kebangsaan Malaysia. Dr. Hoque received a Master of Business Administration from Swinburne University of Technology, Australia.
In January 2022, Dr. Mohammad Enamul Hoque started as an Assistant Professor at BRAC Business School, BRAC University. Dr. Hoque formerly worked at a well-known asset management firm that specialized in government tradeable securities. He was in charge of the research and trading teams.
His research interests are in the areas of applied economics and finance, asset pricing, monetary economics, and financial consumer behavior. Dr. Hoque's work has appeared in the following journals: Borsa Istanbul Review, Cogent Economic and Finance, Economic Research, Energies, International Journal of Emerging Markets, International Journal of Finance and Economics, International Journal of Financial Studies, Journal of Entrepreneurship in Emerging Economies, Journal of Financial Service Marketing, Journal of Islamic Marketing, Mathematics, Prague Economic Paper, and Service Industries Journal.
Address
Level: 5, Room: 5A09
Kha-224 Merul Badda
Dhaka 1212. Bangladesh
-
Education
+–- DBA (Finance), Graduate School of Business (AACSB Accredited), Universiti Kebangsaan Malaysia, Malaysia.
- MBA (Int), Swinburne University of Technology, Australia
- BBA (Finance and Banking), International Islamic University, Chittagong, Bangladesh
- DBA (Finance), Graduate School of Business (AACSB Accredited), Universiti Kebangsaan Malaysia, Malaysia.
-
Publications
+–Journals
Asyari, Hoque, M. E., Hassan, M. K., Susanto, P., Jannat, T., & Mamun, A. A. (2022). Millennial generations islamic banking behavioral intention: The moderating role of profit-loss sharing, perceived financial risk, knowledge of riba, and marketing relationship. In Journal of Risk and Financial Management (Vol. 15, Issue 12). https://doi.org/10.3390/jrfm15120590
Hoque, M. E., Soo-Wah, L., Bilgili, F., & Ali, M. H. (2022). Connectedness and spillover effects of US climate policy uncertainty on energy stock, alternative energy stock, and carbon future. Environmental Science and Pollution Research. https://doi.org/10.1007/s11356-022-23464-0
Huynh, Q. L., Hoque, M. E., Susanto, P., Watto, W. A., & Ashraf, M. (2022). Does financial leverage mediates corporate governance and firm performance? Sustainability, 14(20). https://doi.org/10.3390/su142013545
Hoque, M. E., & Batabyal, S. (2022). Carbon futures and clean energy Stocks: Do they hedge or safe haven against the climate policy uncertainty? Journal of Risk and Financial Management, 15(9). https://doi.org/10.3390/jrfm15090397
Hussain, S., Hoque, M. E., Susanto, P., Watto, W. A., Haque, S., & Mishra, P. (2022). The quality of fair revaluation of fixed assets and additional calculations aimed at facilitating prospective investors & rsquo; decisions. Sustainability, 14(16). https://doi.org/10.3390/su141610334
Luyao, L., Al Mamun, A., Hayat, N., Yang, Q., Hoque, M. E., & Zainol, N. R. (2022). Predicting the intention to adopt wearable payment devices in China: The use of hybrid SEM-Neural network approach. PLoS ONE, 17(8 August). https://doi.org/10.1371/journal.pone.0273849
Hoque, M. E., Soo-Wah, L., Uddin, M. A., & Rahman, A. (2022). International trade policy uncertainty spillover on stock market: Evidence from fragile five economies. The Journal of International Trade & Economic Development, 1–28. https://doi.org/10.1080/09638199.2022.2072520
Hoque, M. E., & Low, S.-W. (2022). Reactions of bitcoin and gold to categorical financial stress: New evidence from quantile estimation. Risks, 10(7). https://doi.org/10.3390/risks10070136
Susanto, P., Hoque, M. E., Jannat, T., Emely, B., Zona, M. A., & Islam, M. A. (2022). Work-life balance, job satisfaction, and job performance of SMEs employees: The moderating role of family-supportive supervisor behaviors. Frontiers in Psychology, 13. https://doi.org/10.3389/fpsyg.2022.906876
Yang, Q., Al Mamun, A., Hayat, N., Jingzu, G., Hoque, M. E., & Salameh, A. A. (2022). Modeling the intention and adoption of wearable fitness devices: A study using SEM-PLS analysis. Frontiers in Public Health, 10. https://doi.org/10.3389/fpubh.2022.918989
Hoque, M. E., & Low, S.-W. (2022). Impact of Industry-specific risk Factors on stock returns of the Malaysian oil and gas industry in a structural break environment. Mathematics, 10(2). https://doi.org/10.3390/math10020199
Idris, I., Hoque, M. E., & Susanto, P. (2022). Willingness to pay for the preservation of urban green space in Indonesia. Cogent Economics and Finance, 10(1). https://doi.org/10.1080/23322039.2021.2008588
Akhter, T., & Hoque, M. E. (2022). Moderating effects of financial cognitive abilities and considerations on the attitude-Intentions nexus of stock market participation. In International Journal of Financial Studies (Vol. 10, Issue 1). https://doi.org/10.3390/ijfs10010005
Susanto, P., Hoque, M. E., Shah, N. U., Candra, A. H., Hashim, N. M. H. N., & Abdullah, N. L. (2021). Entrepreneurial orientation and performance of SMEs: the roles of marketing capabilities and social media usage. Journal of Entrepreneurship in Emerging Economies. https://doi.org/10.1108/JEEE-03-2021-0090
Hoque, M. E., Zaidi, M. A. S., & Hassan, M. K. (2021). Geopolitical uncertainties and malaysian stock market returns: Do market conditions matter? Mathematics, 9(19). https://doi.org/10.3390/math9192393
Hoque, M. E., & Low, S.-W. (2020). Industry risk factors and stock returns of malaysian oil and gas industry: A new look with mean semi-variance asset pricing framework. Mathematics, 8(10), 1–28. https://doi.org/10.3390/math8101732
Hoque, M. E., Wah, L. S., & Shah Zaidi, M. A. (2020). Do oil and gas risk factors matter in the Malaysian oil and gas industry? A FAMA-MACBETH two stage panel regression approach. Energies, 13(5). https://doi.org/10.3390/en13051154
Yasri, Y., Susanto, P., Hoque, M. E., & Gusti, M. A. (2020). Price perception and price appearance on repurchase intention of Gen Y: Do brand experience and brand preference mediate? Heliyon, 6(11). https://doi.org/10.1016/j.heliyon.2020.e05532
Hoque, M. E., Low, S.-W., & Zaidi, M. A. S. (2020). The effects of oil and gas risk factors on Malaysian oil and gas stock returns: Do they vary? Energies, 13(15). https://doi.org/10.3390/en13153901
Hoque, M. E., Hassan, M. K., Zaidi, M. A. S., & Brodmann, J. (2020). Global shocks, monetary policy, and financial market: Evidence from a transition economy. International Journal of Economics and Management, 14(3), 379–400.
Hoque, M. E., & Zaidi, M. A. S. (2020). Global and country-specific geopolitical risk uncertainty and stock return of fragile emerging economies. Borsa Istanbul Review, 20(3), 197–213. https://doi.org/10.1016/j.bir.2020.05.001
Susanto, P., Hoque, M. E., Hashim, N. M. H. N., Shah, N. U., & Alam, M. N. A. (2020). Moderating effects of perceived risk on the determinants–outcome nexus of e-money behaviour. International Journal of Emerging Markets. https://doi.org/10.1108/IJOEM-05-2019-0382
Hoque, M. E., & Zaidi, M. A. S. (2020). Impacts of global economic policy uncertainty on emerging stock markets: Evidence from linear and non-linear models. Prague Economic Papers, 29(1), 53–66. https://doi.org/10.18267/j.pep.725
Akther Uddin, M., Enamul Hoque, M., & Hakim Ali, M. (2020). International economic policy uncertainty and stock market returns of Bangladesh: Evidence from linear and nonlinear model. Quantitative Finance and Economics, 4(2), 236–251. https://doi.org/10.3934/qfe.2020011
Hoque, M. E., Kabir Hassan, M., Hashim, N. M. H. N., & Zaher, T. (2019). Factors affecting Islamic banking behavioral intention: the moderating effects of customer marketing practices and financial considerations. Journal of Financial Services Marketing, 24(1–2), 44–58. https://doi.org/10.1057/s41264-019-00060-x
Hoque, M. E., & Zaidi, M. A. S. (2019). The impacts of global economic policy uncertainty on stock market returns in regime switching environment: Evidence from sectoral perspectives. International Journal of Finance and Economics, 24(2), 991–1016. https://doi.org/10.1002/ijfe.1702
Hoque, M. E., Soo Wah, L., & Zaidi, M. A. S. (2019). Oil price shocks, global economic policy uncertainty, geopolitical risk, and stock price in Malaysia: Factor augmented VAR approach. Economic Research-Ekonomska Istrazivanja, 32(1), 3701–3733. https://doi.org/10.1080/1331677X.2019.1675078
Hoque, M. E., Nik Hashim, N. M. H., & Razzaque, M. A. (2018). Effects of communication and financial concerns on banking attitude-behaviour relations. Service Industries Journal, 38(13–14), 1017–1042. https://doi.org/10.1080/02642069.2018.1428954
Hoque, M. E., Akhter, T., & Yakob, N. A. (2018). Revisiting endogeneity among foreign direct investment, economic growth and stock market development: Moderating role of political instability. Cogent Economics and Finance, 6(1), 1–21. https://doi.org/10.1080/23322039.2018.1492311
Hoque, M. E., Nik Hashim, N. M. H., & Azmi, M. H. B. (2018). Moderating effects of marketing communication and financial consideration on customer attitude and intention to purchase Islamic banking products: A conceptual framework. Journal of Islamic Marketing, 9(4), 799–822. https://doi.org/10.1108/JIMA-01-2017-0005
Hoque, M. E., & Yakob, N. A. (2017). Revisiting stock market development and economic growth nexus: The moderating role of foreign capital inflows and exchange rates. Cogent Economics and Finance, 5(1). https://doi.org/10.1080/23322039.2017.1329975
Hoque, M. E. (2017). Why company should adopt integrated reporting? International Journal of Economics and Financial Issues, 7(1), 241–248. http://www.econjournals.com/index.php/ijefi/article/view/2886
Hoque, M. E. (2016). MICE destinations branding from corporate branding perspective. Procedia - Social and Behavioral Sciences, 219, 307–315. https://doi.org/10.1016/j.sbspro.2016.04.035
Conferences
Uddin, M., Hoque, M. E., & Hakim, B. (2019, October). Does global economic policy uncertainty impact stock market return of Bangladesh? 13th International Conference on Business Innovation for Inclusive Development.
Hoque, M. E., Hasan, M. ., Zaidi, M. A. ., & Brodmann, J. (2019). Financial and monetary impacts and responses of shock in global economic factors: New Evidence from FA-SVAR analysis. Academy of Economics and Finance 56th Annual Meeting.
Hoque, M. E., Soo-Wah, L., Zaidi, A., Tze, T., & Ghazali, N. (2018). Risk factors in Malaysian oil and gas stocks. Proceedings of Business Management Frontiers, 4.
Hoque, M. E., Zaidi, A., Soo-Wah, L., Tze, T., & Ghazali, N. (2017). Malaysian monetary policy responses to different oil price shocks: A FAVAR Approach. Proceeding of Business Frontier, 2.
Hoque, M. E. (2015, December 16-17). MICE destinations branding from corporate branding perspective. 3RD Global Conference on Business & Social Science (GCBSS 2015).
Hoque, M. E. (2015, October). An approach for sustainability and csr reporting, stakeholders engagement and change in corporate behaviour: Does Integrated Reporting matters? International Conference on Contemporary Issues in Accounting and Finance, 08-10, October 2015 (CoCiAF 2015).
Newspaper Articles
Tahasin, R., & Hoque, M. E. (2022, December 11). Competition landscape of the MFS Industry in Bangladesh. The Financial Express. https://thefinancialexpress.com.bd/views/views/competition-landscape-of-...
Islam, M. A., & Hoque, M. E. (2022, May 1). We have the lowest minimum wage in Asia-Pacific. It is high time to revise it. The Business Standard. https://www.tbsnews.net/thoughts/we-have-lowest-minimum-wage-asia-pacifi...
Islam, M. A., & Hoque, M. E. (2022, March 4). Digital leadership: A missing catalyst for female entrepreneurship. The Business Standard. https://www.tbsnews.net/thoughts/digital-leadership-missing-catalyst-fem...
Dhar, N. C., & Hoque, M. E. (2020, July 9). TDS on government securities: How necessary is it? The Business Standard. https://www.tbsnews.net/thoughts/tds-government-securities-how-necessary...
-
Courses Taught
+–- Fundamentals of Investments
- Investment Management
- Management of Financial Institutions
- Bank Management
-
Research Areas/Interests
+–- Applied Economics
- Applied Finance
- Asset Pricing
- Economic Policy Analysis
- Financial Consumer Behavior
- Entrepreneurship and SMEs