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Farid Irani
Dr.
Farid Irani
is an Assistant Professor and currently serves as the Head of the Department of Banking and Finance at Final International University in North Cyprus. He holds a Ph.D. in Banking and Finance from Eastern Mediterranean University and a Master’s degree in Financial Analysis Management from Mysore University. His interdisciplinary background is enriched by an Associate Degree in Software Programming, which complements his expertise in financial modeling and empirical analysis. Dr. Irani is the recipient of several prestigious academic awards, including consecutive Publication Awards from the Scientific and Technological Research Council of Türkiye (TÜBİTAK), as well as recognition from the research advisory boards of both Eastern Mediterranean University and Final International University. He has also earned a wide range of professional certifications from the Corporate Finance Institute (CFI), Canada, covering topics such as financial modeling, valuation, ESG integration, renewable energy finance, Monte Carlo simulation, and corporate strategy. His research interests include financial economics, monetary policy, green finance, shadow banking, ESG performance, and tourism stock markets. He has published in top-tier SSCI-indexed journals such as SAGE Open, Economic Systems, Sustainable Futures, Journal of Economic Studies, and International Journal of Finance & Economics. Dr. Irani is particularly skilled in using advanced econometric methods, including TVP-VAR, GMM, quantile regression, and regime-switching models. He has completed over 160 applied research projects using EViews and regularly works with Stata, RStudio, and SPSS for financial and economic modeling.In addition to his research activities, Dr. Irani is actively involved in scholarly service as an Article Editor for SAGE Open and a Finance Advisory Board Member for Heliyon Journal. He has reviewed more than 160 SSCI-indexed manuscripts across a range of leading journals in finance, economics, and hospitality research. As an educator, he has extensive experience teaching finance and accounting courses at both undergraduate and graduate levels, and he has supervised numerous master’s theses focused on critical topics such as banking stability, financial inclusion, and corruption in emerging markets. His teaching integrates applied econometric tools and real-world financial analysis, ensuring that students acquire both theoretical understanding and practical skills.
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