Farhana Yasmin

Farhana Yasmin

Assistant Professor

Department of Business Administration in Finance & Banking
Faculty of Business Studies (FBS)

farhana.yasmin@bup.edu.bd


BANGLADESH UNIVERSITY OF PROFESSIONALS
Mirpur Cantonment, Dhaka-1216

Biography

Aspire to become an analytical and performance-driven academician. Diversified educational and research background in behavioral finance, economic projection, financial analysis & econometrics, and investment modules.

Last Updated: 16 Apr 2025

Aspire to become an analytical and performance-driven academician. Diversified educational and research background in behavioral finance, economic projection, financial analysis & econometrics, and investment modules.

Last Updated: 16 Apr 2025

Education
S.S.C, হলিক্রস স্কুল
H.S.C, হলিক্রস কলেজ
Honors, ঢাকা বিশ্ববিদ্যালয়
Masters, ঢাকা বিশ্ববিদ্যালয়
MPhil, বিইউপি

Last Updated: 16 Apr 2025

Journal Publication

1. Examining the Impact of Foreign Direct Investment and Foreign Remittances on Economic Growth of Bangladesh: An ARDL Model Approach, Econpapers, 2024.

2. Defining Factors behind the Financial Sustainability of Micro Finance Institutions (MFIs) of Bangladesh, Global Business and Finance Review, 2024.

3. Analyzing the effects of Fundamental and Technical factors on Stock Prices: A study on the IT Sector of Dhaka Stock Exchange, International Journal of Management, Accounting and Economics, 2024.

4. Behavioral Factors Affecting the Investment Decision of Investors of Capital Market in Bangladesh: A Behavioral Finance Approach, Investment Management and Financial Innovations, 2024.

5. Examining the Impact of Foreign Direct Investment and Foreign Remittances on Economic Growth of Bangladesh: An ARDL Model Approach, Econpapers, 2024.

6. Defining Factors behind the Financial Sustainability of Micro Finance Institutions (MFIs) of Bangladesh, Global Business and Finance Review, 2024.

7. Analyzing the effects of Fundamental and Technical factors on Stock Prices: A study on the IT Sector of Dhaka Stock Exchange, International Journal of Management, Accounting and Economics, 2024.

8. Behavioral Factors Affecting the Investment Decision of Investors of Capital Market in Bangladesh: A Behavioral Finance Approach, Investment Management and Financial Innovations, 2024.

Last Updated: 16 Apr 2025

Researchs

1. Behavioral Finance

2. Empirical Asset Pricing

3. Risk dynamics

4. Big data challenges

5. Economic anomolies

6. Behavioral Finance

7. Empirical Asset Pricing

8. Risk dynamics

9. Big data challenges

10. Economic anomolies

Last Updated: 16 Apr 2025

Courses

1. Money and Banking

2. Financial Market and Institutions

3. Managerial Finance

4. Financial Management

5. Corporate Governance and Restructurings

6. Asset Management and Investment Strategy

7. Organizational Behavior

8. Research Methodology

9. Ethics in Finance

10. Corporate Finance

11. International Business and Finance

12. Fundamentals of Finance

13. Investment Analysis and Portfolio Management

14. Management of Financial Institutions

15. Money and Banking

16. Financial Market and Institutions

17. Managerial Finance

18. Financial Management

19. Corporate Governance and Restructurings

20. Asset Management and Investment Strategy

21. Organizational Behavior

22. Research Methodology

23. Ethics in Finance

24. Corporate Finance

25. International Business and Finance

26. Fundamentals of Finance

27. Investment Analysis and Portfolio Management

28. Management of Financial Institutions

Last Updated: 16 Apr 2025

S.S.C, হলিক্রস স্কুল
H.S.C, হলিক্রস কলেজ
Honors, ঢাকা বিশ্ববিদ্যালয়
Masters, ঢাকা বিশ্ববিদ্যালয়
MPhil, বিইউপি

Last Updated: 16 Apr 2025

1. Examining the Impact of Foreign Direct Investment and Foreign Remittances on Economic Growth of Bangladesh: An ARDL Model Approach, Econpapers, 2024.

2. Defining Factors behind the Financial Sustainability of Micro Finance Institutions (MFIs) of Bangladesh, Global Business and Finance Review, 2024.

3. Analyzing the effects of Fundamental and Technical factors on Stock Prices: A study on the IT Sector of Dhaka Stock Exchange, International Journal of Management, Accounting and Economics, 2024.

4. Behavioral Factors Affecting the Investment Decision of Investors of Capital Market in Bangladesh: A Behavioral Finance Approach, Investment Management and Financial Innovations, 2024.

5. Examining the Impact of Foreign Direct Investment and Foreign Remittances on Economic Growth of Bangladesh: An ARDL Model Approach, Econpapers, 2024.

6. Defining Factors behind the Financial Sustainability of Micro Finance Institutions (MFIs) of Bangladesh, Global Business and Finance Review, 2024.

7. Analyzing the effects of Fundamental and Technical factors on Stock Prices: A study on the IT Sector of Dhaka Stock Exchange, International Journal of Management, Accounting and Economics, 2024.

8. Behavioral Factors Affecting the Investment Decision of Investors of Capital Market in Bangladesh: A Behavioral Finance Approach, Investment Management and Financial Innovations, 2024.

Last Updated: 16 Apr 2025

Last Updated: 16 Apr 2025

Last Updated: 16 Apr 2025

Behavioral Finance
Empirical Asset Pricing
Risk dynamics Big data challenges
Economic anomolies
Behavioral Finance
Empirical Asset Pricing
Risk dynamics Big data challenges
Economic anomolies

Last Updated: 16 Apr 2025

Last Updated: 16 Apr 2025

Money and Banking
Financial Market and Institutions
Managerial Finance
Financial Management
Corporate Governance and Restructurings
Asset Management and Investment Strategy
Organizational Behavior
Research Methodology
Ethics in Finance
Corporate Finance
International Business and Finance
Fundamentals of Finance
Investment Analysis and Portfolio Management
Management of Financial Institutions
Money and Banking
Financial Market and Institutions
Managerial Finance
Financial Management
Corporate Governance and Restructurings
Asset Management and Investment Strategy
Organizational Behavior
Research Methodology
Ethics in Finance
Corporate Finance
International Business and Finance
Fundamentals of Finance
Investment Analysis and Portfolio Management
Management of Financial Institutions

Last Updated: 16 Apr 2025