Mahfuzul Haque, Ph.D.
Associate Professor, Finance
Education
- B.S.: Bangladesh University of Engineering and Technology,
1977
- M.B.A.: Indiana University, 1993
- M.A.: University of New Orleans, 1997
- Ph.D.: Corporate Finance and Investments, University of New Orleans,
College of Business, 1999
Teaching Interests
- Financial Institutions
- International Finance
- Corporate Finance
- Investments
Research Publications
- Haque, M., O. Varela and M. Kabir Hassan (2007).
Safety-first and Extreme Value Bilateral U.S.-Mexican Portfolio
Optimization around the Peso Crisis and NAFTA in 1994.
Quarterly Review of Economics and Finance, 47(3),
449-469.
- Haque, Mahfuzul and Tarek S. Zaher (2006) Volatility of an
Efficiency Portfolio in the NAFTA Region. The
Global Journal of Finance and Economics, 3(2),
215-230.
- M. Kabir Hassan, Haque Mahfuzul and Lawrence Shari (2006).
An Empirical Analaysis of Emerging Stock Markets of Europe.
Quarterly Journal of Business and Economics,
45(1-2), 19-40.