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A. H. M. Shahriar

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    A. H. M. Shahriar

    BBA (University of Dhaka) and MBA (University of Dhaka)

    Assistant Professor

    Dept. of Finance and Banking
    Jashore University of Science and Technology
    Teacher Image

    A. H. M. Shahriar

    BBA (University of Dhaka) and MBA (University of Dhaka)

    Assistant Professor

    Finance and Banking
    Jashore University of Science and Technology

    Biography

    A man, possessing full of enthusiasm, dedication, and commitment, literally committed to involved in research activities as the key responsibilities to the society and then to the nation at whole. He is none other than A. H. M. Shahriar, working as the Assistant Professor, Department of Finance and Banking, Jashore University of Science and technology, having commitment not to compromise his excellences with inadequate and unprofessional outcomes, bringing his excellences on right track.


    He completed his graduation and post-graduation from University of Dhaka, with outstanding results, achieving a gold medal at 51st convocation for securing highest CGPA in BBA (Bachelor of Business Administration). He was a residential student of University of Dhaka, conducting several socio-economic and extra-curricular activities in his full of residential and academic life. He joined in different workshop and international conferences held at Faculty of Business Studies, University of Dhaka. Along with professional excellences, he possesses other forms of excellences, including singing and song-writing.


    Mr. Shahriar has already published three (3) research papers at which he has fetched his identity as first author of two papers. His areas of research where he engaged his full spaces include Capital Structure, Credit Risk Management, Corporate Finance, and Financial Inclusion. His field of specialization comprises Risk Management in Banks, Corporate Finance, Financial Derivatives, Economics of Money and Banks, Risk Management and Insurance, Financial Market and Institutions, Econometric Techniques, and Applications of Business Mathematics. He has a great knowing of running STATA, e-views, and SPSS to conduct modern research papers. He is an expert in basic econometrics, time-series modeling, and panel data analysis. He is now trying to explore new area of research on stock market volatility and its implication.


    Last Update: 12 Jul, 2025

    Research Interest

    • Capital Structure
    • Credit Risk Management
    • Corporate FInance
    • Economics of Money and Banking
    • Financial Inclusion