Dr Asma Mobarek
- mobareka@cardiff.ac.uk
- +44 (0)29 2087 4256
- F06, Adeilad Aberconwy, Rhodfa Colum, Cathays, Caerdydd, CF10 3EU
- Ar gael fel goruchwyliwr ôl-raddedig
Trosolwg
Asma Mobarek did her PhD from the University of Leeds, UK, on stock market efficiency and asset pricing. She taught at the University of Dhaka, University of Botswana and Stockholm University Business School in the past.
Her current research interest includes consequence of financial crisis on financial markets and investors' behavior during crisis, corporate governance, corporate social responsibility etc. She has completed several internally and externally funded research projects. She was a member of the project team in an EU funded project on Pro-MHI Micro-Health Insurance in Botswana University. She has also obtained approximately GBP175, 000 from Handelsbanken's Jan Wallanders Foundation, Nasdaq OMX Nordic Foundation and Vinnova foundation in Sweden.
Her recent papers are appeared in Journal of Financial Stability, Journal of Financial Services Research, and Journal of International Financial Markets, Institutions, and Money.
Cyhoeddiadau
2019
- Mollah, S.et al. 2019. Bank corporate governance and future earnings predictability. Journal of Financial Services Research 56, pp. 369-394. (10.1007/s10693-019-00307-7)
2017
- Cai, C. X., Mobarek, A. and Zhang, Q. 2017. International stock market leadership and its determinants. Journal of Financial Stability 33, pp. 150-162. (10.1016/j.jfs.2016.10.002)
- Mollah, S.et al. 2017. The governance, risk-taking, and performance of Islamic banks. Journal of Financial Services Research 51, pp. 195-219. (10.1007/s10693-016-0245-2)
2016
- Mobarek, A.et al. 2016. Determinants of time varying co-movements among international stock markets during crisis and non-crisis periods. Journal of Financial Stability 24, pp. 1-11. (10.1016/j.jfs.2016.03.003)
2014
- Mobarek, A., Mollah, S. and Keasey, K. 2014. A cross-country analysis of herd behavior in Europe. Journal of International Financial Markets, Institutions and Money 32, pp. 107-127. (10.1016/j.intfin.2014.05.008)
- Mobarek, A. and Fiorante, A. 2014. The prospects of BRIC countries: Testing weak-form market efficiency. Research in International Business and Finance 30, pp. 217-232. (10.1016/j.ribaf.2013.06.004)
- Mobarek, A. and Kalonov, A. 2014. Comparative performance analysis between conventional and Islamic banks: empirical evidence from OIC countries. Applied Economics 46(3), pp. 253-270. (10.1080/00036846.2013.839863)
- Mobarek, A. and Li, M. 2014. Regional volatility: common or country-specific? Exploration of international stock market. Studies in Economics and Finance 31(4), pp. 406-425. (10.1108/SEF-04-2013-0051)
2009
- Mollah, S. and Mobarek, A. 2009. Market volatility across countries – evidence from international markets. Studies in Economics and Finance 26(4), pp. 257-274. (10.1108/10867370910995717)
2008
- Mobarek, A. 2008. Market efficiency and stock returns behaviour in emerging market: evidence from the Bangladesh stock market. Journal of Emerging Market Finance 7(1), pp. 17-41.
Addysgu
Teaching commitments
- International Finance
- International Banking