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Featured researches published by Rafiqul Bhuyan.


Investment management & financial innovations | 2010

Do Acquisitions Create Value? Evidence from the US and European Bank Acquisitions During Financial Crisis

Sarina Ar-Loc Ng; Mohammad (Amir) T. Vaziri; Rafiqul Bhuyan

In this research, we investigate the valuation effect on acquiring banks during different window of events. The research is conducted on the US and the European banks mergers and acquisition during the period of 2004 through 2010 with special focus on bank mergers during the financial crisis of this decade. During this crisis period when many big banks are also on the verge of bankruptcy, many mergers and acquisitions take place in the United States in Europe. Using traditional event study methodology, we investigate the wealth effect on acquiring banks to understand the market reaction in bank acquisitions announcements. We observe those acquisition announcements, on average; create a 0.3% and 0.8% gain in the United States and European countries, respectively to the acquiring bank. When we focus on banks with different size and location, we, however, find that, on average, American acquiring banks lose 18% who employ 10,000-100,000 and European banks lose 6% with same employment size. Furthermore, American acquiring banks lose 17% and 12% that are headquartered in the Western and Midwestern states respectively. Our results offer further evidence to the literature that, shareholders of acquiring banks face negative wealth effect even when they acquire other banks during crisis period.


International Journal of Accounting and Information Management | 2010

Re‐stating financial statements and its reaction in financial market: Evidence from Canadian stock market

Mohammad G. Robbani; Rafiqul Bhuyan


Investment management & financial innovations | 2017

Comparative predictability of failure of financial institutions using multiple models

Mo Vaziri; Rafiqul Bhuyan; Ponkala Anand Vaseekhar Manuel


Journal of Mathematical Finance | 2014

Optimal Portfolio Allocation among REITs, Stocks, and Long-Term Bonds: An Empirical Analysis of US Financial Markets

Rafiqul Bhuyan; James L. Kuhle; Nuriddin Ikromov; Charles Chiemeke


Investment management & financial innovations | 2017

On the Dynamics of Volatility Transmission: An Empirical Investigation on G-8 Countries

Mohammad G. Robbani; Rafiqul Bhuyan; Wafaa Sbeiti


Archive | 2012

Market Reaction to Mergers and Acquisitions: An Empirical Analysis on Banking Industry in the Asia Pacific Region

Mo Vaziri; Rafiqul Bhuyan; I-Chi Yang


Archive | 2012

Executive Compensation, Performance, and Size: Empirical Investigation on Banking Sector in Bangladesh

Suman Paul Chowdhury; Hasibul Alam Chowdhury; Rafiqul Bhuyan; Shahnaz Abdullah; James L. Kuhle


Archive | 2006

Financial Restatements and Their Impact on Stock Prices: Evidence from the US Financial Markets

Mohammad G. Robbani; Sekhar Anantharaman; Rafiqul Bhuyan; California State University-Sacramento


Global Review of Accounting and Finance | 2016

Creating Value through Strategic Corporate Integration: A Comparative Review

Rafiqul Bhuyan; Mohammad G. Robbani; John Russell


Journal of Business & Economics Research | 2011

Investment Portfolio Strategies Based On Options Market Activity

Rafiqul Bhuyan; Steven Freund; Yuxing Yan

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James L. Kuhle

California State University

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Mo Vaziri

California State University

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Eric C. Lin

California State University

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Nuriddin Ikromov

California State University

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Sarina Ar-Loc Ng

California State University

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Shahnaz Abdullah

University of Massachusetts Amherst

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Steven Freund

University of Massachusetts Lowell

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Yuxing Yan

University of Pennsylvania

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