Updated on 2024/04/16

写真a

 
Nabil Ben Mohamed MAGHREBI
 
Name of department
Faculty of Economics, Department of Economics
Job title
Professor
Concurrent post
Vice President、Institute of Global Initiatives(Vice COO)
Mail Address
E-mail address
Homepage
External link

Education

  • 1991
    -
    1994

    Osaka University   経済学研究科   経済学  

Degree

  • PhD Economics

Association Memberships

  • 1994.04
    -
    Now

    Nippon Finance Association

Research Areas

  • Humanities & social sciences / Money and finance / Market Volatility Global Islamic Finance

  • Humanities & social sciences / Economic policy / Monetary Policy and Financial Markets Financial Stability

Classes (including Experimental Classes, Seminars, Graduation Thesis Guidance, Graduation Research, and Topical Research)

  • 2022   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2022   International Financial Markets B   Specialized Subjects

  • 2022   International Financial Markets A   Specialized Subjects

  • 2022   Graduation Research   Specialized Subjects

  • 2022   Seminar Ⅱ   Specialized Subjects

  • 2022   Seminar Ⅰ   Specialized Subjects

  • 2022   Sophomore Seminar   Specialized Subjects

  • 2022   Japanese Finance and Economy   Specialized Subjects

  • 2022   Foundations of Finance   Specialized Subjects

  • 2021   International Financial MarketsB   Specialized Subjects

  • 2021   International Financial MarketsA   Specialized Subjects

  • 2021   Seminar Ⅱ   Specialized Subjects

  • 2021   Seminar Ⅰ   Specialized Subjects

  • 2021   Sophomore Seminar   Specialized Subjects

  • 2021   Japanese Finance and Economy   Specialized Subjects

  • 2021   Foundations of Finance   Specialized Subjects

  • 2021   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2020   Graduation Research   Specialized Subjects

  • 2020   Reading in Foreign Literature (English)   Specialized Subjects

  • 2020   Japanese Finance and Economy   Specialized Subjects

  • 2020   International Financial Markets   Specialized Subjects

  • 2020   Foundations of Finance   Specialized Subjects

  • 2020   Sophomore Seminar   Specialized Subjects

  • 2020   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2019   Graduation Research   Specialized Subjects

  • 2019   Seminar Ⅱ   Specialized Subjects

  • 2019   Seminar Ⅰ   Specialized Subjects

  • 2019   Seminar Ⅰ   Specialized Subjects

  • 2019   Japanese Finance and Economy   Specialized Subjects

  • 2019   Japanese Finance and Economy   Specialized Subjects

  • 2019   International Financial Markets   Specialized Subjects

  • 2019   International Financial Markets   Specialized Subjects

  • 2019   Foundations of Finance   Specialized Subjects

  • 2019   Foundations of Finance   Specialized Subjects

  • 2019   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2018   SeminarⅡ and Thesis   Specialized Subjects

  • 2018   Seminar A on Modern Finance Theory   Specialized Subjects

  • 2018   NA   Specialized Subjects

  • 2018   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2018   Seminar Ⅱ   Specialized Subjects

  • 2018   Seminar Ⅰ   Specialized Subjects

  • 2018   Seminar Ⅰ   Specialized Subjects

  • 2018   Sophomore Seminar   Specialized Subjects

  • 2018   Reading in Foreign Literature (English)   Specialized Subjects

  • 2018   Reading in Foreign Literature (English)   Specialized Subjects

  • 2018   Japanese Finance and Economy   Specialized Subjects

  • 2018   Japanese Finance and Economy   Specialized Subjects

  • 2018   International Financial Markets   Specialized Subjects

  • 2018   International Financial Markets   Specialized Subjects

  • 2018   Foundations of Finance   Specialized Subjects

  • 2018   Foundations of Finance   Specialized Subjects

  • 2017   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2017   SeminarⅡ and Thesis   Specialized Subjects

  • 2017   Seminar Ⅰ   Specialized Subjects

  • 2017   Seminar Ⅰ   Specialized Subjects

  • 2017   Reading in Foreign Literature (English)   Specialized Subjects

  • 2017   Reading in Foreign Literature (English)   Specialized Subjects

  • 2017   Japanese Finance and Economy   Specialized Subjects

  • 2017   Japanese Finance and Economy   Specialized Subjects

  • 2017   Sophomore Seminar   Specialized Subjects

  • 2017   International Financial Markets   Specialized Subjects

  • 2017   International Financial Markets   Specialized Subjects

  • 2017   Foundations of Finance   Specialized Subjects

  • 2017   Foundations of Finance   Specialized Subjects

  • 2016   Seminar A on Finance Theory   Specialized Subjects

  • 2016   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2016   SeminarⅡ and Thesis   Specialized Subjects

  • 2016   Seminar Ⅰ   Specialized Subjects

  • 2016   Seminar Ⅰ   Specialized Subjects

  • 2016   Reading in Foreign Literature (English)   Specialized Subjects

  • 2016   Reading in Foreign Literature (English)   Specialized Subjects

  • 2016   International Financial Markets   Specialized Subjects

  • 2016   International Financial Markets   Specialized Subjects

  • 2016   Japanese Finance and Economy   Specialized Subjects

  • 2016   Japanese Finance and Economy   Specialized Subjects

  • 2016   Foundations of Finance   Specialized Subjects

  • 2016   Foundations of Finance   Specialized Subjects

  • 2015   SeminarⅡ and Thesis   Specialized Subjects

  • 2015   Seminar Ⅰ   Specialized Subjects

  • 2015   Seminar Ⅰ   Specialized Subjects

  • 2015   Research Methods   Specialized Subjects

  • 2015   Japanese Finance and Economy   Specialized Subjects

  • 2015   Japanese Finance and Economy   Specialized Subjects

  • 2015   NA   Specialized Subjects

  • 2015   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2015   Reading in Foreign Literature (English)   Specialized Subjects

  • 2015   Reading in Foreign Literature (English)   Specialized Subjects

  • 2015   International Financial Markets   Specialized Subjects

  • 2015   International Financial Markets   Specialized Subjects

  • 2014   SeminarⅡ and Thesis   Specialized Subjects

  • 2014   NA   Specialized Subjects

  • 2014   Seminar A on Finance Theory   Specialized Subjects

  • 2014   Seminar Ⅰ   Specialized Subjects

  • 2014   Seminar Ⅰ   Specialized Subjects

  • 2014   Reading in Foreign Literature (English)   Specialized Subjects

  • 2014   Reading in Foreign Literature (English)   Specialized Subjects

  • 2014   International Financial Markets   Specialized Subjects

  • 2014   International Financial Markets   Specialized Subjects

  • 2014   Japanese Finance and Economy   Specialized Subjects

  • 2014   Japanese Finance and Economy   Specialized Subjects

  • 2014   Foundations of Finance   Specialized Subjects

  • 2014   Foundations of Finance   Specialized Subjects

  • 2014   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2013   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2013   Seminar A on Finance Theory   Specialized Subjects

  • 2013   Seminar Ⅰ   Specialized Subjects

  • 2013   Seminar Ⅰ   Specialized Subjects

  • 2013   Reading in Foreign Literature (English)   Specialized Subjects

  • 2013   Reading in Foreign Literature (English)   Specialized Subjects

  • 2013   Freshman Seminar Ⅰ   Specialized Subjects

  • 2013   Japanese Finance and Economy   Specialized Subjects

  • 2013   Japanese Finance and Economy   Specialized Subjects

  • 2013   Foundations of Finance   Specialized Subjects

  • 2013   Foundations of Finance   Specialized Subjects

  • 2012   NA   Liberal Arts and Sciences Subjects

  • 2012   NA   Liberal Arts and Sciences Subjects

  • 2011   Thesis   Specialized Subjects

  • 2011   SeminarⅡ and Thesis   Specialized Subjects

  • 2011   Seminar Ⅰ   Specialized Subjects

  • 2011   Seminar Ⅰ   Specialized Subjects

  • 2011   Reading in Foreign Literature (English)   Specialized Subjects

  • 2011   Reading in Foreign Literature (English)   Specialized Subjects

  • 2011   Japanese Finance and Economy   Specialized Subjects

  • 2011   Japanese Finance and Economy   Specialized Subjects

  • 2011   Freshman Seminar Ⅰ   Specialized Subjects

  • 2011   Foundations of Finance   Specialized Subjects

  • 2011   Foundations of Finance   Specialized Subjects

  • 2011   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2010   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2010   NA   Specialized Subjects

  • 2010   Seminar Ⅰ   Specialized Subjects

  • 2010   Seminar Ⅰ   Specialized Subjects

  • 2010   Reading in Foreign Literature (English)   Specialized Subjects

  • 2010   Reading in Foreign Literature (English)   Specialized Subjects

  • 2010   Freshman Seminar Ⅰ   Specialized Subjects

  • 2010   NA   Specialized Subjects

  • 2010   NA   Specialized Subjects

  • 2009   NA   Specialized Subjects

  • 2009   NA   Specialized Subjects

  • 2009   NA   Specialized Subjects

  • 2009   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2009   Investment Analysis   Specialized Subjects

  • 2009   SeminarⅡ and Thesis   Specialized Subjects

  • 2009   Seminar Ⅰ   Specialized Subjects

  • 2009   Seminar Ⅰ   Specialized Subjects

  • 2009   Reading in Foreign Literature (English)   Specialized Subjects

  • 2009   Reading in Foreign Literature (English)   Specialized Subjects

  • 2009   Japanese Finance and Economy   Specialized Subjects

  • 2009   Japanese Finance and Economy   Specialized Subjects

  • 2009   Foundations of Finance   Specialized Subjects

  • 2009   Foundations of Finance   Specialized Subjects

  • 2008   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2008   NA   Specialized Subjects

  • 2008   SeminarⅡ and Thesis   Specialized Subjects

  • 2008   Seminar Ⅰ   Specialized Subjects

  • 2008   Seminar Ⅰ   Specialized Subjects

  • 2008   Investment Analysis   Specialized Subjects

  • 2008   Reading in Foreign Literature (English)   Specialized Subjects

  • 2008   Reading in Foreign Literature (English)   Specialized Subjects

  • 2008   Securities Investment   Specialized Subjects

  • 2007   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2007   NA   Specialized Subjects

  • 2007   NA   Specialized Subjects

  • 2007   NA   Specialized Subjects

  • 2007   NA   Specialized Subjects

  • 2007   NA   Specialized Subjects

  • 2007   Investment Analysis   Specialized Subjects

  • 2006   Culture and thoughts in the age of Internationalization   Liberal Arts and Sciences Subjects

  • 2006   NA   Specialized Subjects

  • 2006   NA   Specialized Subjects

  • 2006   NA   Specialized Subjects

  • 2006   Securities Investment   Specialized Subjects

  • 2006   NA   Specialized Subjects

  • 2006   Foundations of Finance   Specialized Subjects

  • 2006   Foundations of Finance   Specialized Subjects

▼display all

Classes

  • 2022   Graduate Seminar and Master's Thesis   Master's Course

  • 2022   Graduate Seminar Ⅱ   Master's Course

  • 2022   Graduate Seminar Ⅰ   Master's Course

  • 2022   Islamic Finance Practice   Master's Course

  • 2022   Islamic Finance and Banking   Master's Course

  • 2022   Islamic Capital Markets   Master's Course

  • 2022   Finance Theory   Master's Course

  • 2022   Islamic Law of Transactions   Master's Course

  • 2022   Islamic Political Economy   Master's Course

  • 2021   Graduate Seminar Ⅱ   Master's Course

  • 2021   Graduate Seminar Ⅰ   Master's Course

  • 2021   Islamic Finance Practice   Master's Course

  • 2021   Islamic Finance and Banking   Master's Course

  • 2021   Islamic Capital Markets   Master's Course

  • 2021   Finance Theory   Master's Course

  • 2021   Islamic Law of Transactions   Master's Course

  • 2021   Islamic Political Economy   Master's Course

  • 2021   Graduate Seminar Ⅱ and Thesis   Master's Course

  • 2020   Graduate Seminar Ⅰ   Master's Course

  • 2020   Finance   Master's Course

  • 2019   NA   Master's Course

  • 2018   Finance   Master's Course

  • 2017   Graduate Seminar Ⅱ and Thesis   Master's Course

  • 2017   Finance   Master's Course

  • 2016   Graduate Seminar Ⅰ   Master's Course

  • 2016   Finance   Master's Course

  • 2015   Finance  

  • 2014   Finance  

  • 2013   Finance  

  • 2012   NA  

  • 2011   Finance  

  • 2010   Finance  

  • 2009   NA   Master's Course

  • 2009   NA   Master's Course

  • 2008   Finance   Master's Course

  • 2007   Finance   Master's Course

  • 2007   NA   Master's Course

  • 2006   Finance   Master's Course

▼display all

Research Interests

  • Financial Markets, Financial Stability, Market Volatility, Global Islamic Finance

  • 国際金融市場・ファイナンス実証研究・オプション市場

Published Papers

  • The Linkage between Stock Market and Government Responses to the Disease Outbreak

    Nabil ElMaghrebi

    Annals of the Economic Society of Wakayama University     2021

  • Financial market impact on the real economy: An assessment of asymmetries and volatility linkages between the stock market and unemployment rate

    Mark J. Holmes, Nabil Maghrebi

    Journal of Economic Asymmetries ( Elsevier )  13   1 - 7   2016.06  [Refereed]

     View Summary

    Using a GARCH-in-mean VAR procedure applied to US data, we find that stock market volatility impacts positively on the unemployment rate. We further identify asymmetries insofar as positive and negative shocks to stock market returns give rise to contrasting responses in unemployment consistent with both short-run complementarity and substitutability between capital and labour. Moreover, the impact from a negative shock is consistent with complementarity. The impact from a positive stock market shock is also consistent with complementarity albeit in the very short-run, whereas evidence consistent with substitutability between capital and labour predominates soon after thereby increasing the unemployment rate.

    DOI

  • Risk Sharing and Shared Prosperity in Islamic Finance

    Mirakhor, A, Nabil El Maghrebi

    Islamic Economic Studies   23 ( 2 ) 85 - 115   2015  [Refereed]

  • Financial instability and the short-term dynamics of volatility expectations

    Nabil Maghrebi, Mark J. Holmes, Kosuke Oya

    Applied Financial Economics   24 ( 6 ) 377 - 395   2014.03  [Refereed]

     View Summary

    This study provides new evidence of nonlinearities in the dynamics of volatility expectations during financial crises using Markov regime-switching models of model-free volatility indices. The regimes of changes in implied volatility in international financial markets are defined as function of market sentiment and a realignment process following forecast errors consistent with rational expectations. The results indicate that market returns and changes in forecast errors have indeed the potential of influencing the formation of volatility expectations. But the main force driving the dynamics of volatility expectations during periods of financial instability lies rather in the correlation with returns, reflecting market sentiment. The insignificance of the realignment process may be reflective of consensus beliefs that past information does not provide useful guidance during financial crises. It is forward-looking macroeconomic information and contemporaneous price movements that are more likely to shape the dynamics of volatility expectations. © 2014 © 2014 Taylor & Francis.

    DOI

  • Nonlinear adjustments of volatility expectations to forecast errors: Evidence from Markov-regime switches in implied volatility

    Kazuhiko Nishina, Nabil Maghrebi, Mark J. Holmes

    Review of Pacific Basin Financial Markets and Policies   15 ( 3 ) 1 - 23   2012.09  [Refereed]

     View Summary

    This paper tests for nonlinearities in the behavior of volatility expectations based on model-free implied volatility indices. Using Markov regime-switching models, the empirical evidence from the German, Japanese and U.S. markets suggests that there are indeed regime-specific levels of volatility expectations. Whereas the regimes seem to be governed by the degree of serial correlation and adjustment to forecast errors, there is no evidence of significant leverage effects. The frequency of regime shifts in volatility expectations is affected by the onset of financial crises, which have the effect of increasing the likelihood of regimes driven by lower autoregressive effects and faster speeds of adjustment. The evidence suggests that despite the heterogeneous beliefs of market participants, implied volatility indices provide a measure of consensus expectations that can be useful in understanding the nonlinear behavior of volatility expectations during periods of financial instability. © 2012 World Scientific Publishing Co. and Center for Pacific Basin Business, Economics and Finance Research.

    DOI

  • Model-free implied volatility: From surface to index

    M. Fukasawa, I. Ishida, N. Maghrebi, K. Oya, M. Ubukata, K. Yamazaki

    International Journal of Theoretical and Applied Finance   14 ( 4 ) 433 - 463   2011.06  [Refereed]

     View Summary

    We propose a new method for approximating the expected quadratic variation of an asset based on its option prices. The quadratic variation of an asset price is often regarded as a measure of its volatility AR, and its expected value under pricing measure can be understood as the market's expectation of future volatility AR. We utilize the relation between the asset variance and the Black-Scholes implied volatility AR surface, and discuss the merits of this new model-free approach compared to the CBOE procedure underlying the VIX index. The interpolation scheme for the volatility AR surface we introduce is designed to be consistent with arbitrage bounds. We show numerically under the Heston stochastic volatility AR model that this approach significantly reduces the approximation errors, and we further provide empirical evidence from the Nikkei 225 options that the new implied volatility AR index is more accurate in predicting future volatility AR. © 2011 World Scientific Publishing Company.

    DOI

  • Are there asymmetries in the relationship between exchange rate fluctuations and stock market volatility in pacific basin countries?

    Nabil Maghrebi, Mark J. Holmes, Eric J. Pentecost

    Review of Pacific Basin Financial Markets and Policies   9 ( 2 ) 229 - 256   2006.06  [Refereed]

     View Summary

    This paper examines asymmetries in the dynamic relationship between foreign exchange fluctuations and stock market volatility in Pacific basin countries. The methodology is based on a dynamic covariance modelling that accounts for leverage effects and the asymmetric impact of currency fluctuations. There is evidence that appreciations are more conducive to lower volatility in currency markets than depreciations of equal magnitude. Market volatility tends to be ceteris paribus, more sensitive to bad news about equity than good news and more responsive to currency depreciations than appreciations. The results also suggest that bad news about equity accompanied with currency depreciations are likely to generate higher volatility in currency markets and have the potential of affecting the significance of leverage effects in stock markets. © World Scientific Publishing Co. and Center for Pacific Basin Business, Economics and Finance Research.

    DOI

  • Asian real interest rates, nonlinear dynamics, and international parity

    Mark J. Holmes, Nabil Maghrebi

    International Review of Economics and Finance   13 ( 4 ) 387 - 405   2004  [Refereed]

     View Summary

    This study tests for nonlinearities in the real interest differentials of four South East Asian economies with respect to Japan and the United States. The logistic and exponential smooth transition regression models are applied to monthly data over the sample period 1977M1-2000M3. There is evidence of nonlinearities in Asian real interest differentials where nonlinearities are often captured by the logistic smooth transition autoregressive (STAR) model. The extent of nonlinearities varies across the sample with the Singapore-Japan and Thailand-Japan differentials exhibiting the sharpest transition from one regime to another. Large shocks to real interest parity (RIP) are more likely to lead to the reestablishment of parity at a faster rate than small shocks. Modeling the nonlinear stochastic dynamics of RIP can thus be useful for policymaking purposes in recovering information on monetary and financial crises. © 2003 Elsevier Inc. All rights reserved.

    DOI

  • Non-linearities, regime switching and the relationship between Asian equity and foreign exchange markets

    Mark J. Holmes, Nabil Maghrebi

    International Economic Journal   16 ( 4 ) 121 - 139   2002  [Refereed]

  • Some Perspectives on the Shifting Dynamics of Economic Systems and the Changing Role of Faculties of Economics

    Nabil ElMaghrebi (Part: Lead author )

    Economic Research Annals of Wakayama University   26   197 - 224   2022.09

  • Preliminary Evidence on the Relation between Economic Uncertainty, Financial Stress and Liquidity Risk

    Nabil ElMaghrebi

    The Economic Review of Wakayama University Economic Society   408   17 - 34   2022.03

  • Liquidity Traps and the Limits of Monetary Easing during Balance-Sheet Recessions

    Nabil ElMaghrebi (Part: Lead author )

    The Economic Review of Wakayama University Economic Society   400   47 - 62   2020.03

  • Reconsidering the Role of Tobin’s Q: Nonlinearities in the Adjustment of Investment Expenditure

    Mark Holmes, Nabil Maghrebi

    Studies in Economics & Finance   32 ( 2 ) 222 - 234   2015  [Refereed]

  • Conceptual Analysis of Islamic Home-Financing Models

    Holmes M.J, K. Oya, Nabil El Maghrebi

    ISRA International Journal of Islamic Finance   5 ( 1 ) 29 - 88   2013  [Refereed]

  • Some Preliminary Evidence on the Relation between Market Volatility Expectations and Leading Indicators of the Japanese Economy

    Nabil Maghrebi, Mark J.Holmes

    Keizai riron : economic theory ( Wakayama University )  367   87 - 105   2012

    DOI

  • Market Volatility and Financial Regulation

    Nabil Maghrebi

    The annals of the Economic Society, Wakayama University ( Wakayama University )  14   175 - 186   2010

  • Reflections on the U.S. Housing and Credit Crisis

    Nabil Maghrebi

    Keizai riron : economic theory ( Wakayama University )  351   23 - 41   2009

  • Is there a connection between monetary unification and real economic integration? Evidence from regime-switching stationarity tests

    Mark J. Holmes, Nabil Maghrebi

    JOURNAL OF INTERNATIONAL MONEY AND FINANCE ( ELSEVIER SCI LTD )  27 ( 6 ) 958 - 970   2008.10  [Refereed]

     View Summary

    We investigate the extent of real convergence among G7 economies in terms of long-rum real interest parity. A novel approach is applied where unit-root tests of real interest differentials are embedded within a Markov regime-switching framework. Whereas standard univariate unit-root tests provide little support for parity, we find real convergence is present after allowing for regime switches in real interest misalignments. However, differentials across members of the euro zone are likely to exhibit greater persistence despite nominal convergence. It is non-sequitur to infer from monetary unification that nominal convergence is necessarily conducive to real interest realignments or preventive of misalignments. (C) 2008 Elsevier Ltd. All rights reserved.

    DOI

  • The Bank of Japan Monetary Policy Meetings and the Behavior of the Nikkei225 Implied Volatility Index

    Maghrebi Nabil

    Osaka Economic Papers ( The Economic Society of Osaka University )  57 ( 4 ) 84 - 99   2008

    DOI

  • An Introduction to the Nikkei 225 Implied volatility index

    Nabil El Maghrebi

    The Wakayama Economic Review   336   35 - 55   2007.03

  • The KOSPI200 implied volatility index: Evidence of regime switches in volatility expectations

    Nabil Maghrebi, Moo-Sung Kim, Kazuhiko Nishina

    ASIA-PACIFIC JOURNAL OF FINANCIAL STUDIES ( KOREAN SECURITIES ASSOC )  36 ( 2 ) 163 - 187   2007  [Refereed]

     View Summary

    This study develops a new KOSPI200 implied volatility index and examines its informational content and nonlinear dynamics. The construction of this new benchmark for volatility expectations follows the methodology for calculating the new VIX index from S&P500 options. The empirical evidence suggests that the expected level of volatility in the Korean stock market has been steadily falling since the inception of option trading and the onset of the Asian financial crisis. Implied volatility is found to reflect useful information on future volatility that is not contained in the history of returns, even after allowing for leverage effects. Markov regime-switching models suggest that nonlinearities in volatility expectations are not likely to be driven solely by the asymmetric impact of news but also by regime-dependencies in the realignment mechanism adjusting for forecast errors. The adjustment process is likely to be significant during regimes of lower volatility expectations but financial crises seem to elevate the level of anticipated volatility and impair its adaptive dynamics.

  • Are international real interest rate linkages characterized by asymmetric adjustments?

    Mark J. Holmes, Nabil Maghrebi

    Journal of International Financial Markets, Institutions and Money   16 ( 4 ) 384 - 396   2006.10  [Refereed]

     View Summary

    This study tests for asymmetries in the adjustment mechanism towards real interest parity using monthly data over the period 1973-2004 for the U.S. and a sample of other OECD economies. There is stronger evidence of long-run cointegrating relationships when an explicit distinction is made between decreasing and increasing deviations from equilibrium. The speed of mean-reversion tends to be fastest when momentum gathers for increasing rather than decreasing deviations. This evidence is consistent with asymmetric monetary policy responses where close linkages with respect to the U.S. are likely to be less prevalent in a regime of rising nominal interest rates and falling inflation. © 2005 Elsevier B.V. All rights reserved.

    DOI

  • The dynamics of volatility transmission in real interest rates: How integrated are the G7 economies?

    Mark J. Holmes, Nabil Maghrebi

    European Review of Economics and Finance   4 ( 2 ) 43 - 64   2005  [Refereed]

  • Issues in Financial Globalization

    Nabil El Maghrebi

    The Modern World and Japanese Economy, Wakayama University Press     71 - 78   1997

  • Return Dynamics of Japanese Stock Index Options

    NISHINA Kazuhiko, NABIL Maghrebi M

    The Japanese economic review ( 学術雑誌目次速報データベース由来 )  48 ( 1 ) 43 - 64   1997  [Refereed]

  • Information Technology and Financial Issues

    Nabil El Maghrebi

    Research Notes of the Center for Information Science, Wakayama University   1   17 - 20   1997

  • Some Preliminary Evidence on the Intermarket Pricing Relationship between Nikkei Stock Index Derivatives

    NABIL Maghrebi M

    Osaka Daigaku keizaigaku = The Economic review of Osaka University ( Osaka University )  43 ( 2 ) 76 - 92   1994

  • On Skewness Preference and Persistence Hypotheses

    MAGHREBI N.

    Japan financial review. ( 日本証券経済研究所 )  15 ( 15 ) 17 - 34   1992  [Refereed]

▼display all

Books etc

  • Handbook of Analytical Studies in Islamic Finance and Economics

    Nabil El Maghrebi, Tarik Akin, Zamir Iqbal, Abbas Mirakhor (Editors)( Part: Joint editor)

    De Gruyer Publishing House, Berlin, Germany  2020.08 

  • Intermediate Islamic Finance

    Nabil Maghrebi, Abbas Mirakhor, Zamir Iqbal( Part: Joint author)

    John Wiley & Sons  2016 

  • Handbook of Analytical Studies in Islamic Finance & Economics

    Nabil El Maghrebi( Part: Contributor,  Work: Chapter 5- Interest Rates, Unconventional Monetary Policies and Market Volatility Expectations)

    De Gruyter Publishing House, Berlin, Germany  2020.08 

  • Handbook of Analytical Studies in Islamic Finance & Economics

    Belal E. Baaquie, Nabil Maghrebi( Part: Contributor,  Work: Chapter 8- Statistical Microeconomic Modelling of Asset Prices: Some Perspectives from Islamic Finance and Economics)

    De Gruyter Publishing House, Berlin, Germany  2020.08 

  • Islamic Finance: Political Economy, Performance and Risk (Editors Mehmet Asutay;Abdullah Turkistani)

    Muto Koji, Nabil Maghrebi, Abdullah Q. Turkistani( Part: Joint editor,  Work: Volume 1, Chapter 12- Understanding the Values and Attitudes in Islamic Finance and Banking)

    Gerlach Publishers, Berling, Germany  2015.02 

  • Kazuhiko Nishina

    Nabil Maghrebi( Part: Contributor,  Work: Chapter- Ibn Khaldun Classic Theory of Development and the Globalization Process)

    International Institute for Advanced Studies  2011  ISBN: 9784906671786

  • Advances in Pacific Basin Financial Markets vol.4

    Theodore Bos, Thomas A. Aetherston( Work: Chapter 13- Futures margin regulation and stock market volatility: Evidence from the Nikkei225 options market)

    Emerald Group Publishing Limited  1998.01 

  • Issues in Contemporary Economies and Societies vol.2

    Hiroyoshi Kono, Kengo Uno, Mitsuru Suzuki( Work: Option Pricing in Japanese Markets)

    Toyokeizai Shimbunsha Publishers  1994 

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Misc

  • The Nikkei225 Implied Volatility Index and the Behavior of Volatility Expectations in the Japanese Stock Market

    Nabil El Maghrebi, Nishina, K, M.S. Kim

    Proceedings of the 15th Annual Meeting of the Nippon Finance Association,Keio University, June 16-17, 2007, Tokyo, Japan     218 - 227   2007.06

  • The International Linkage between Implied Volatility Indices and the Dynamics of Return Correlation

    Nabil El Maghrebi, Nishina, K

    Proceedings of the Asian Finance Association Conference 2005, July 11-13, 2005, Kuala Lumpur, Malaysia     2005.07

  • The Impact of the Information Technology Bubble on Asian Equity Markets

    Nabil El Maghrebi, Nishina, K

    Proceedings of Asia Pacific Economics and Business Conference 2002, vol. 1, October 2-4, Kuching, Malaysia,     490 - 499   2002.10

Conference Activities & Talks

  • The Economics of Disease Outbreaks, Policy Responses and Challenges

    Nabil El Maghrebi  [Invited]

    Online International Conference of Covid-19 (Concovid)  2020.06.12  

  • Risk Sharing, Islamic Finance, and Economic Development

    Ibn Khaldun University Seminar Series, September 27, 2017, Istanbul, Turkey  2017.09.27  

  • Risk Hedging and Derivatives Markets in Islamic Finance

    Industry Talk, International Center for Education in Islamic Finance, October 26, 2017, Kuala Lumpur, Malaysia  2017  

  • Risk Sharing and Shared Prosperity in Islamic Finance

    Nabil Maghrebi, Mirakhor, A

    Inaugural Conference of the World Bank Global Islamic Finance Development Center, WBGIFDC, September 8-9, 2015, Istanbul Turkey  2015  

  • Conceptual Analysis of Islamic Home-Financing Models

    Seminars Series of the Islamic Economics Institute, King AbdulAziz University, Jeddah, Saudi Arabia, Malaysia, February 23, 2013  2013.02.23  

  • Conceptual Analysis of Islamic Home-Financing Models

    Industry Talk Seminars Series of the International Center for Education in Islamic Finance, INCEIF, The Global University for Islamic Education, Kuala Lumpur, Malaysia, February 18, 2013  2013.02.18  

  • Understanding the Values and Attitudes in Islamic Finance and Banking

    Nabil El Maghrebi, Muto K, A.Q. Turkistani

    Gulf Research Center Meeting, University of Cambridge, United Kingdom, July 11-14, 2012  2012  

  • Economic Uncertainty and Model-Free Volatility Expectations

    BK, Seminar Series, College of Business Administration, Pusan National, University, March, Pusan, Korea

    2012  

  • The Formation of Volatility Expectations during Financial Crises: Evidence from Markov-Regime Switches in Implied Volatility Indices

    Nabil Maghrebi, Nishina, K, M.J. Holmes

    APAD 2011, The 7th Annual Conference of the Asia-Pacific Association of Derivatives, August 25~26, 2011, Korea Derivatives Association, Seoul, Korea  2011  

  • Market Volatility Expectations around the Bank of Japan‘s Monetary Policy Meetings

    Nabil Maghrebi, M.S. Kim, Nishina, K

    Monetary Economics Workshop, Osaka University, Japan, May 29, 2010  2010  

  • Model-Free Volatility Expectations and Risk Perceptions during Financial Crises

    Nabil Maghrebi, Nishina, K, M.S. Kim

    The 5th International Conference on Asia Pacific Financial Markets, December 4, 2010, Korean Securities Association, The Westin Chosun Hotel, Seoul, Korea  2010  

  • Monetary Policy Meetings and Market Volatility Anticipations

    BK21 Seminar Series, College of Business Administration, Pusan National University, February 26, 2010, Pusan, Korea  2010  

  • Perspectives on financial crises and economic globalization

    Seminar Series on Globalization and Civil Society, International Institute for Advanced Studies, February 13-14, 2009, Kyoto, Japan  2009  

  • Estimation of Japanese equity risk with the model-free Nikkei225 implied volatility index

    Applied Statistics Workshop, The University of Tokyo, January 23, 2009, Tokyo, Japan  2009  

  • Global financial crises and financial market volatility

    BK21 Seminar Series, College of Business Administration, Pusan National University, February 20, 2009, Pusan, Korea.  2009  

  • Measuring economic uncertainty with the model-free Nikkei225 implied volatility index

    The 20th Anniversary of the Equity Index Futures Symposium of the Nikkei225 Futures, Osaka Securities Exchange, Osaka University and Nikkei Newspaper Digital Media, September 2, 2008, Osaka, Japan  2008  

  • Market expectations of economic uncertainty around the Bank of Korea monetary policy meetings

    International Conference of the Asia-Pacific Association of Derivatives, June 26-27, 2008, Pusan, Korea (with Kazuhiko Nishina and MooSung Kim)  2008  

  • The Kospi200 implied volatility index and the dynamics of volatility expectations in the Korean stock market

    The BK21 Seminar Series, College of Business, Pusan National University, February 22, 2007, Pusan, Korea, (with MooSung Kim and Kazuhiko Nishina)  2007  

  • The stochastic behavior of the Nikkei225 implied volatility index

    Center for the Study of Finance and Insurance, CSFI Workshop 2007, Osaka University, December 1-2, 2007, Osaka, Japan, (with Kazuhiko Nishina and MooSung Kim)  2007  

  • The Nikkei225 implied volatility index and the behavior of volatility expectations in the Japanese stock market

    The 15th Annual Meeting of the Nippon Finance Association, Keio University, June 16-17, 2007, Tokyo, Japan, (with Kazuhiko Nishina and MooSung Kim)  2007  

  • The Kospi200 implied volatility index: evidence of regime shifts in expected volatility

    The First International Conference on Asia-Pacific Financial Markets, Dec. 8-9, 2006, Seoul, Korea, (with MooSung Kim and Kazuhiko Nishina)  2006  

  • New perspectives on the implications of globalization for civil society and human civilization

    Seminars on Globalization and Civil Society, International Institute for Advanced Studies, Nov. 17-18, 2006, Kyoto, Japan.  2006  

  • Islamic Finance

    Research Seminars, Graduate School of Economics, Wakayama University, December 14, 2006, Japan  2006  

  • The international linkage between implied volatility indices and the dynamics of return correlation

    Asian Finance Association Conference 2005, July 11-13, 2005, Kuala Lumpur, Malaysia, (with Nishina Kazuhiko)  2005  

  • The Dynamics of Volatility Transmission in Real Interest Rates: How Integrated are the G7 Economies?

    Holmes, M.J, Nabil Maghrebi

    The 14th Meeting of the New Zealand Econometric Study Group (NZESG), March 11-12, 2005, University of Canterbury, New Zealand  2005  

  • Are there asymmetries in the relationship between foreign exchange fluctuations and stock market volatility in Pacific Basin countries?

    The 12th Annual Conference on Pacific Basin Finance, Economics, Accounting and Business, -Roads toward Sustainable Asian Economic Prosperity, August 10-11, 2004, Bangkok, Thailand, (with Mark J. Holmes and Eric Pentecost)  2004  

  • The Impact of the Information Technology Bubble on Asian Equity Markets

    Asia Pacific Economics and Business Conference 2002, October 2-4, 2002, Kuching, Sarawak, Malaysia, (with Kim, M.S.)  2002  

  • Vector autoregression study of South Korean stock market and exchange rate volatility

    Seminars in Business Administration, College of Business Administration, Pusan University, July 8, 1999.  1999  

  • Environmental risks and financial returns: conflicts and compromises

    United Nations Development Program Conference Series on Religions of the World and Ecology, Harvard University, May 7-10, 1998  1998  

  • Modern electronic finance: an Islamic perspective

    International Conference on Values and Attitudes in Science and Technology, September 3-6, 1996, Kuala Lumpur, Malaysia  1996  

  • Return Dynamics of Japanese Stock Index Options

    Annual Conference of the Nippon Finance Association, June 1994, Tokyo, Japan, (with Nishina, K.)  1994  

  • Technological Innovation and ESG Investment in the Japanese Energy Sector

    Hisatoshi Tanaka, Atsushi Nakashima, Nabil Maghrebi

    Geomate International Conference 2020, Melbourne, Australia   

  • Paradigm Shift in Natural Resources and Energy Policies

    Hisatoshi Tanaka, Atsushi Nakashima, Nabil Maghrebi

    Geomate International Conference 2020, Melbourne, Australia   

▼display all

KAKENHI

  • 国際金融システム・金融安定性と金融政策

    2012.04
    -
    2015.03
     

    Grant-in-Aid for Scientific Research(B)  Principal investigator

  • 金融リスクの計量化と統計的推測に関わる諸問題の解明

    2010.04
    -
    2011.03
     

    Grant-in-Aid for Scientific Research(A)  Co-investigator

  • 金融市場のボラティリティと金融政策および経済変動との関係

    2009.04
    -
    2012.03
     

    Grant-in-Aid for Scientific Research(B)  Principal investigator

  • 国際金融市場の統合と変動性に関する実証分析

    2006.04
    -
    2008.03
     

    Grant-in-Aid for Scientific Research(B)  Principal investigator

  • 国際金融市場及びその制度に関する理論・実証分析

    2003.04
    -
    2006.03
     

    Grant-in-Aid for Scientific Research(C)  Principal investigator

Instructor for open lecture, peer review for academic journal, media appearances, etc.

  • 招へい教員(招へい教授)

    2023.04.01
    -
    2024.03.31

    大阪大学 数理・データ科学教育研究センター

     View Details

    招へい教員

    ボラティリティ指標の開発、改良を担うVXJ研究グループのメンバーとして研究を行う

  • アソシエイトエディター 編集委員

    2023.02.15
    -
    2026.02.15

    INCEIF University ISRA Research Management Centre

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    編集

    ・期間内にオンライン提出システムを通じて査読の実施
    ・受理された論文の質を確保するために編集者に原稿に関する推奨を行う
    ・関連する現行の提出を奨励し、招待することにより、IJOFを促進する。
    ・IJOFの影響力を高め、雑誌を評判の良い索引に掲載することに貢献する
    ・ジャーナルの読者層の継続的な成長を支援する。
    ・雑誌のテーマ別特集号について提案する。
    ・その他の形でIJOFの発展に貢献すること

  • 招へい教員(招へい教授)

    2022.04.01
    -
    2023.03.31

    大阪大学数理・データ科学教育センター

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    招へい教員

    ボラティリティ指標の開発、改良を担うVXJ研究グループのメンバーとして研究を行う

  • 招へい教員(招へい教授)

    2020.04.01
    -
    2021.03.31

    国立大学法人大阪大学数理・データ科学教育研究センター

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    研究

    ボラティリティ指標の開発、改良を担うVXJ研究グループのメンバーとして研究を行う

  • Associate Editor

    2019.04
    -
    Now

    ISRA International Journal of Islamic Finance

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    学術雑誌等の編集委員・査読・審査員等

    Associate Editor

  • 学術雑誌論文査読

    2019.04
    -
    Now

    ISRA International Journal of Islamic Finance

     View Details

    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • DeGruyter著書出版の編集委員長

    2019.04
    -
    Now

    Handbook of Analytical Studies in Islamic Finance and Economics

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    学術雑誌等の編集委員・査読・審査員等

    DeGruyter著書出版の編集委員長

  • マルマラ大学イスラム経済学・金融研究所アドバイザリーボード

    2019.04
    -
    2020.03

    その他

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    国際交流事業

    Member, Advisory Board,相手国:Marmara University Institute of Islamic Economics and Finance, Istanbul Turkey

  • MMDS-VXJボラティリティ指数

    2019.04

    MMDS-VXJ研究グループ 大阪大学数学・データ科学センター (Center for Mathematical Modelling and Data Science)

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    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • メディア出演等

    2019.03.03

    産経新聞

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    研究成果に係る新聞掲載、テレビ・ラジオ出演

    特色ある研究・教育両立

  • DeGruyter著書出版の編集委員長

    2018.04
    -
    Now

    Handbook of Analytical Studies in Islamic Finance and Economics

     View Details

    学術雑誌等の編集委員・査読・審査員等

    DeGruyter著書出版の編集委員長

  • MMDS-VXJボラティリティ指数

    2018.04

    MMDS-VXJ研究グループ 大阪大学数学・データ科学センター (Center for Mathematical Modelling and Data Science)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 学術雑誌論文査読

    2017.04
    -
    Now

    Quantitative Finance

     View Details

    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • 学術雑誌論文査読

    2017.04
    -
    Now

    ISRA International Journal of Islamic Finance

     View Details

    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • MMDS-VXJボラティリティ指数

    2017.04

    MMDS-VXJ研究グループ 大阪大学数学・データ科学センター (Center for Mathematical Modelling and Data Science)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 編集査読委員

    2016.04
    -
    Now

    その他

     View Details

    学術雑誌等の編集委員・査読・審査員等

    編集査読委員等,任期:なし

  • MMDS-VXJボラティリティ指数

    2016.04

    MMDS-VXJ研究グループ 大阪大学数学・データ科学センター (Center for Mathematical Modelling and Data Science)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 編集査読委員

    2015.04
    -
    Now

    その他

     View Details

    学術雑誌等の編集委員・査読・審査員等

    編集査読委員等,任期:なし

  • MMDS-VXJボラティリティ指数

    2015.04

    MMDS-VXJ研究グループ 大阪大学数学・データ科学センター (Center for Mathematical Modelling and Data Science)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 著書裏書き-"Introductory mathematics and statitics for islamic finance..." A. Mirakhor and N. Krichene

    2014.04
    -
    Now

    John Wiley & Sons出版

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    学術雑誌等の編集委員・査読・審査員等

    著書裏書き-"Introductory mathematics and statitics for islamic finance..." A. Mirakhor and N. Krichene

  • MMDS-VXJボラティリティ指数

    2014.04

    MMDS-VXJ研究グループ 大阪大学数学・データ科学センター (Center for Mathematical Modelling and Data Science)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • メディア出演等

    2013.07.03

    Tunis Afrique Presse

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    研究成果に係る新聞掲載、テレビ・ラジオ出演

    Interview-Article

  • 学術雑誌論文査読

    2013.04
    -
    Now

    Journal of Risk Finance

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    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • 学術雑誌論文査読

    2013.04
    -
    Now

    Applied Economics

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    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • 学術雑誌論文査読

    2013.04
    -
    Now

    ISRA International Journal of Islamic Finance

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    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • CSFI-VXJボラティリティ指数

    2013.04

    CSFI-VXJ研究グループ 大阪大学金融保険教育研究センター(Center for the Study of Finance and Insurance)

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    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 編集査読委員

    2012.04
    -
    Now

    その他

     View Details

    学術雑誌等の編集委員・査読・審査員等

    編集査読委員等,任期:なし

  • CSFI-VXJボラティリティ指数

    2012.04

    CSFI-VXJ研究グループ 大阪大学金融保険教育研究センター(Center for the Study of Finance and Insurance)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 編集査読委員

    2011.04
    -
    Now

    その他

     View Details

    学術雑誌等の編集委員・査読・審査員等

    編集査読委員等,任期:なし

  • CSFI-VXJボラティリティ指数

    2011.04

    CSFI-VXJ研究グループ 大阪大学金融保険教育研究センター(Center for the Study of Finance and Insurance)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 編集査読委員

    2010.04
    -
    Now

    その他

     View Details

    学術雑誌等の編集委員・査読・審査員等

    編集査読委員等,任期:なし

  • CSFI-VXJボラティリティ指数

    2010.04

    CSFI-VXJ研究グループ 大阪大学金融保険教育研究センター(Center for the Study of Finance and Insurance)

     View Details

    公開講座・講演会の企画・講師等

    日本金融市場におけるボラティリティ指数の更新・公開普及(教育研究等のため)

  • 学術雑誌論文査読

    2009.04
    -
    Now

    Journal of Risk Finance

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    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • Symposium on Islamic finance and banking: values and perceptions

    2009.04
    -
    2010.03

    Aye Mengistu 氏

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    国際交流事業

    研究者招待・発表学会開催(和歌山大学・立命館アジア太平洋大学の共同開催),相手国:エチオピア

  • 研究わくわく人生塾

    2009.04

    和歌山大学大阪の柑芦会

     View Details

    公開講座・講演会の企画・講師等

    米国の金融危機とグローバル金融市場の変動・2009年 7月 31日

  • イスラム金融の勉強会

    2009.04

    和歌山大学大阪の柑芦会

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    公開講座・講演会の企画・講師等

    イスラム金融入門・2010年3月10日

  • 編集査読委員

    2008.04
    -
    Now

    その他

     View Details

    学術雑誌等の編集委員・査読・審査員等

    編集査読委員等,任期:なし

  • Public Lecture on Islamic Finance

    2008.04

    アジアパシフィック立命館大学・アジア経済研究所・後援:サウディ大使館・日本経済新聞

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    公開講座・講演会の企画・講師等

    日本における初のイスラミック金融の公開講義のために準備・招待・連携

  • 学術雑誌論文査読

    2007.04
    -
    Now

    Asia Pacific Journal of Financial Studies

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    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • 和大・UiTM(マラ工科大学)の協定

    2007.04
    -
    2008.03

    学生支援・国際交流理事

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    国際交流事業

    UiTMの訪問・準備会議参加・協定の作成への貢献,相手国:マレーシア

  • 学術雑誌論文査読

    2006.04
    -
    Now

    International Economic Journal

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    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

  • 学術雑誌論文査読

    2006.04
    -
    Now

    International Review of Economics and Finance

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    学術雑誌等の編集委員・査読・審査員等

    学術雑誌論文査読

▼display all

Committee member history in academic associations, government agencies, municipalities, etc.

  • アドバイザリーボード委員

    2022.04.01
    -
    2023.03.31
     

    マルマラ大学イスラム経済学・金融研究所 Marmara University Institute of Islamic Economics and Finance

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • アドバイザリーボード委員

    2021.04.01
    -
    2022.03.31
     

    マルマラ大学イスラム経済学・金融研究所 Marmara University Institute of Islamic Economics and Finance

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • Member of the Advisory Board

    2020.04.01
    -
    2021.03.31
     

    Journal of Islamic Research

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • アドバイザリーボード委員

    2020.04.01
    -
    2021.03.31
     

    マルマラ大学イスラム経済学・金融研究所 Marmara University Institute of Islamic Economics and Finance

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • 招へい教員

    2020.04.01
    -
    2021.03.31
     

    大阪大学 数理・データ科学教育研究センター

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    国や地方自治体、他大学・研究機関等での委員

    招へい教員,任期:2020年4月~2021年3月

  • Associate Editor

    2020.04.01
    -
    2021.03.31
     

    ISRA International Journal of Islamic Finance

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • アドバイザリーボード委員

    2019.07.08
    -
    2020.03.31
     

    マルマラ大学イスラム経済学・金融研究所 Marmara University Institute of Islamic Economics and Finance

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • Associate Editor

    2019.04.01
    -
    2020.03.31
     

    ISRA International Journal of Islamic Finance

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • Member of the Advisory Board

    2019.03.23
    -
    2019.03.31
     

    Journal of Islamic Research

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • Associate Editor

    2019.03.08
    -
    2019.03.31
     

    ISRA International Journal of Islamic Finance

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    学協会、政府、自治体等の公的委員

    アドバイザリーボード

  • 委員

    2014.04
    -
    Now
     

    不明

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    国や地方自治体、他大学・研究機関等での委員

    国や地方自治体、他大学・研究機関等での委員,任期:大阪大学 金融・保険教育研究センター 特任教授

  • 委員

    2013.04
    -
    Now
     

    不明

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    国や地方自治体、他大学・研究機関等での委員

    国や地方自治体、他大学・研究機関等での委員,任期:大阪大学 金融・保険教育研究センター 特任教授

  • 委員

    2012.04
    -
    Now
     

    不明

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    国や地方自治体、他大学・研究機関等での委員

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