Mohammad Alahmad | Machine Learning Applications | Best Researcher Award

Dr. Mohammad Alahmad | Machine Learning Applications | Best Researcher Award

 University of Greenwich | United Kingdom

Mohammad Al AHMAD is a dedicated part-qualified ACCA professional and experienced Accounting and Financial Management lecturer with extensive higher-education teaching, research, and financial analysis expertise. He holds a PhD in Accounting and Financial Management from the University of Portsmouth, an MSc in Accounting and Finance from Bath Spa University, an MSc in Finance, and a BSc in Accounting and Financial Management. His professional experience spans senior and lecturer roles at Anglia Ruskin University, Arden University, University of Portsmouth, and others, alongside FP&A experience at Oliver Wyman. His research interests include risk disclosure, big data analytics, financial reporting quality, and governance, supported by strong quantitative, coding, and statistical research skills. His academic contributions include peer-reviewed publications, teaching certifications, and international recognition, reflecting a sustained commitment to excellence in education, research, and inclusive academic leadership.

Citation Metrics (Scopus)

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Citations
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Documents
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h-index
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Top Publications

Fahad Ali*, Muhammad Ahmar, YueXiang Jiang*, Mohammad Alahmad* (Forthcoming).

A Techno-economic Assessment of Hybrid Energy Systems in Rural Pakistan


Energy (SCI, Impact Factor: 6.082, Q1 Journal)

Fahad Ali*, RongRong He, Mohammad Alahmad*, YueXiang Jiang (Accepted).

Social Acceptance of Solar Technology in Developing Countries: Lessons for Pakistan


Journal of the Asian Economic Community (Journal launch & indexing in progress)

Fahad Ali, Elie Bouri, Nader Naifar, Syed Shahzad, Mohammad Alahmad* (Accepted).

Are Gold-backed Islamic Cryptocurrencies Safe Havens for International Islamic Equity Markets?


Research in International Business and Finance

Reda Louziri | Behavioral Economics Research | Research Excellence Award

Dr. Reda Louziri | Behavioral Economics Research | Research Excellence Award

Ministère de l’Économie et des Finances du Maroc | Morocco

Dr. Reda Louziri is a distinguished finance and management scholar with a Doctorate in Economics and Management from the Faculty of Legal, Economic and Social Sciences – Souissi, Mohammed V University, Rabat, awarded with “Très Honorable” and recognized as one of the top three finalists for the Best Thesis in Finance by the Moroccan Association of Control, Accounting and Audit (AMCCA). She also holds a Master in Finance and Management from Cranfield School of Management, UK, and a Master Grande École from ESC Rouen, France, with a specialization in corporate finance. Professionally, she has extensive experience as an Inspector of Finance and Head of Brigade at the General Finance Inspectorate (IGF) within the Moroccan Ministry of Economy and Finance, overseeing audits of public institutions, ministerial departments, and international development projects. She also has experience in credit risk analysis at BMCI – BNP Paribas and consulting at Mazars Maroc. Dr. Louziri has published two scholarly documents, including one Scopus-indexed article, cited 11 times with an h-index of 1. Her research focuses on corporate finance, dividend policy, capital structure, corporate governance, and financial performance. She has received awards for research excellence and has contributed to academic teaching in finance. Dr. Louziri’s work bridges theoretical research and practical application in public and corporate finance.

Profiles : Scopus  | Orcid

Featured Publications

Louziri, R., & Oubal, K. (2025). Characteristics of the Chairman of the Board of Directors and Their Impact on Dividend Payments in the Moroccan Stock Exchange. Journal of Risk and Financial Management, 18(2), 70. https://doi.org/10.3390/jrfm18020070

Louziri, R., & Oubal, K. (2023). Does the level of free cash-flow impact dividend payments? The case of the Casablanca Stock Exchange. Revue Internationale des Sciences de Gestion.

Louziri, R., & Oubal, K. (2022). Dividend policy determinants: Literature review and research model proposal. International Journal of Accounting, Finance, Auditing, Management and Economics. https://doi.org/10.5281/zenodo.7378354

Louziri, R., & Oubal, K. (2022). Board of directors and ownership structure impact on dividend policy: The case of the Moroccan stock market. African Scientific Journal. https://doi.org/10.5281/zenodo.7356197

Louziri, R., & Oubal, K. (2022). Determinants of Dividend Policy: The Case of the Casablanca Stock Exchange. Journal of Risk and Financial Management, 15(12), 548. https://doi.org/10.3390/jrfm15120548

Deepa | Energy and Utilities Analytics  | Best Researcher Award

Ms. Deepa | Energy and Utilities Analytics  | Best Researcher Award

USMS University School of Management Studies | India

Ms. Deepa is a dedicated researcher and emerging academician in financial economics, currently pursuing her Ph.D. at the University School of Management Studies, Guru Gobind Singh Indraprastha University, where her doctoral work investigates the factors influencing access to clean energy across developing nations. With an h-index of 3, 4 published documents, and 16 citations across 15 referencing documents, she has established a growing scholarly footprint, contributing to high-impact journals such as Renewable Energy, Corporate Social Responsibility and Environmental Management, and Environment, Development and Sustainability. Her research spans sustainable finance, corporate finance, green growth, energy poverty, ESG, and development economics, supported by certifications including UGC NET/JRF (twice). She has presented her work at leading institutions including IIT Bombay, IIT Bhubaneswar—where she received a Best Paper Award—IIM Kashipur, and the Central University of Himachal Pradesh. As an adjunct faculty member, she has taught courses in Financial Accounting and Entrepreneurial Mindset, integrating analytical rigor with practical insights. With expertise in EViews, Stata, R, and bibliometric tools, she continues to advance impactful, policy-relevant research. She aspires to contribute meaningfully to academia by promoting inclusive, sustainable development through evidence-based teaching and scholarship.

Profiles : Scopus | Orcid 

Featured Publications

Deepa, Ahuja, S., Soti, N., Kumar, A., Phore, J., & Gupta, S. (2026). How can green finance and economic policies unlock new pathways to clean energy access in Sub-Saharan African nations? Renewable Energy. https://doi.org/10.1016/j.renene.2025.124703

Soti, N., Kumar, A., Gupta, S., Ahuja, S., & Deepa. (2025). Towards a sustainable future: The interplay of trade globalization and regulatory quality on environmental outcomes in India. Sustainable Futures. https://doi.org/10.1016/j.sftr.2025.100578

Kumar, A., Soti, N., Gupta, S., & Deepa. (2024). Addressing energy poverty in BRICS economies: Insights from panel data analysis and policy implications for sustainable development goals. Environment, Development and Sustainability. https://doi.org/10.1007/s10668-024-05652-9

Phore, J., Deepa, Soti, N., Kumar, A., & Saini, A. K. (2024). Exploring the dynamics of ICT and globalization on human development in India: Asymmetric analysis and policy implications. International Journal of Information Technology. https://doi.org/10.1007/s41870-024-02056-w

Mahbouba Nasraoui | Regression Analysis | Research Excellence Award

Dr. Mahbouba Nasraoui | Regression Analysis | Research Excellence Award

University of Burgundy | France

Dr. Mahbouba Nasraoui is a researcher and lecturer in finance whose work examines the intersections of economic policy uncertainty, ESG practices, market behavior, and corporate decision-making. She holds advanced academic qualifications, including a doctorate in finance, and has taught at institutions such as IAE Dijon and the Faculty of Economics and Management, where she has delivered courses in corporate finance, financial principles, management control, and derivatives. Her professional background spans higher education, professional training, and corporate financial management, offering her a multidisciplinary perspective that enriches her research and teaching. Dr. Nasraoui has published in reputable journals, including Economic Modelling and The Journal of Risk Finance, with studies exploring investment inefficiency, stock market liquidity, and investor sentiment. She has presented her work at several international conferences in France and Tunisia, contributing to discussions on sustainability, ethics, monetary policy, and financial markets. Her research interests include economic policy uncertainty, behavioral finance, ESG integration, financial decision-making, and market microstructure. In recognition of her academic engagement, she continues to collaborate with research teams and participate in scientific events. Dr. Nasraoui strives to advance knowledge in finance while fostering rigorous, engaged learning environments for her students.

Profile : Orcid

Featured Publications

Nasraoui, M., Ajina, A., & Herve, F. (2025). Economic Policy Uncertainty, ESG Practices, and Investment Inefficiency in U.S. Firms. Economic Modelling. https://doi.org/10.1016/j.econmod.2025.107414

Nasraoui, M., Ajina, A., & Kahloul, A. (2024). The influence of economic policy uncertainty on stock market liquidity? The mediating role of investor sentiment. The Journal of Risk Finance. https://doi.org/10.1108/JRF-06-2023-0129

Edward Douthett | Qualitative Research | Excellence in Research

Dr. Edward Douthett | Qualitative Research | Excellence in Research

George Mason University | United States

Dr. Edward B. Douthett is an accomplished academic and accounting professional serving as an Associate Professor of Accounting at George Mason University’s School of Business. He holds a Ph.D. and M.B.A. in Accounting and Finance from the University of Georgia’s Terry College of Business and a B.S. in Accounting from Pennsylvania State University. Before entering academia, Dr. Douthett gained extensive industry experience at Exxon Chemicals and Exxon Company USA, where he held key roles in financial reporting, analysis, auditing, and management. A Certified Public Accountant (CPA) in Virginia, his teaching expertise spans managerial and cost accounting, financial accounting, and performance evaluation across undergraduate, MBA, and EMBA programs. His academic contributions emphasize cost management, performance measurement, and international business environments. Dr. Douthett’s work bridges theory and practice, integrating real-world corporate insights into academic learning. He has been recognized for his excellence in teaching and leadership, particularly as the Northern Chapter Virginia Society CPA Professor of Public Accounting. Dedicated to fostering ethical decision-making and analytical skills among future accounting professionals, Dr. Douthett continues to inspire innovation in accounting education and practice.

Profile : Orcid

Featured Publications

Amoruso, A., Douthett, E., & Duchac, J. (2025). The effect of the legal environment on assurance services: evidence from international registrants in U.S. capital markets. Review of Quantitative Finance and Accounting.

Copley, P., Douthett, E. B., & Zhang, S. (2021). Venture capitalists and assurance services on initial public offerings. Journal of Business Research.

Douthett, E. B., & Copley, P. (2020). The Enrollment Cliff, Mega-Universities, COVID-19, and the Changing Landscape of U.S. Colleges. CPA Journal.

Douthett, E. B. (2020). Do Auditors Protect Shareholders Against Financial Expropriation by Corporate Insiders? The Journal of American Academy of Business.

Douthett, E. B. (2020). Do auditors provide assurance beyond the financial statements? Evidence from the market for new issues. Journal of Theoretical Accounting Research.