Conference Activities & Talks -
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Critical Perspectives on Economic Resilience and Decision-making under Uncertainty
Nabil Maghrebi
Joint Research Meeting Wakayama University and Shandong University 2024.11.20
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The Economics of Environmental Crises and the Problem of Knowledge
Nabil ElMaghrebi [Invited]
Conference on Climate Change, Sustainability, and International Cooperation (CLICS), Düzce University, Türkiye 2024.02.21
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Risk Sharing, Islamic Finance, and Economic Development
Ibn Khaldun University Seminar Series, September 27, 2017, Istanbul, Turkey 2017.09.27
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Risk Hedging and Derivatives Markets in Islamic Finance
[Invited]
Industry Talk, International Center for Education in Islamic Finance, October 26, 2017, Kuala Lumpur, Malaysia 2017
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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
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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
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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
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Economic Uncertainty and Model-Free Volatility Expectations
BK, Seminar Series, College of Business Administration, Pusan National, University, March, Pusan, Korea
2012
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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
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The Economics of Disease Outbreaks, Policy Responses, and Challenges
Nabil El Maghrebi [Invited]
Online International Conference of Covid-19, (Concovid) 2020.06.12
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Conceptual Analysis of Islamic Home-Financing Models
[Invited]
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
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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
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Monetary Policy Meetings and Market Volatility Anticipations
BK21 Seminar Series, College of Business Administration, Pusan National University, February 26, 2010, Pusan, Korea 2010
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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
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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
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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
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Global financial crises and financial market volatility
BK21 Seminar Series, College of Business Administration, Pusan National University, February 20, 2009, Pusan, Korea. 2009
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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
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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
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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
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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
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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
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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
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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
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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
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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
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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
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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
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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
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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
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Modern electronic finance: an Islamic perspective
International Conference on Values and Attitudes in Science and Technology, September 3-6, 1996, International Islamic University, Kuala Lumpur, Malaysia 1996
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Return Dynamics of Japanese Stock Index Options
Annual Conference of the Nippon Finance Association, June 1994, Tokyo, Japan, (with Nishina, K.) 1994