Department of Finance, Risk Management and Banking

Prof G Marozva

College of Economic and Management Sciences
School of Economic and Financial Sciences
Department: Finance, Risk Management and Banking
Professor
Tel: 012 429 4977
E-mail: Marozg@unisa.ac.za

Qualifications

  • Ph. D Mnagement studies- Finance
  • Chartered Financial Analysts( CFA) Chaterholder
  • MSc Banking and Financil services
  • HBS in Finance and Banking( Honours)

Fields of academic interests

  • Market Microstructure
  • Market liquidity
  • Funding liquidity
  • Bank liquidity
  • Financial markets
  • Bank regulation
  • Derivatives
  • Portfolio Management
  • Fixed income securities

Journal articles

  1. Marozva, G., & Makina , D.(2020).Liquidity risk and assets liabilty mismatches: evidence from South Africa.Studies in Economics and Econometrics,44(1), 73-112.
  2. Marozva, G.(2020).The effects of monetary policy on stock market returns and volatility : Evidence from South Africa. Academy of Accounting and financial studies Journal, 24(3),1-11.
  3. Marozva, G. (2020). Stock Market Liquidity and monetary Policy. International Journal of Economics & Business Administration (IJEBA), 8(2), 265-275.
  4. Marozva, G & Mutezo, A. T. (2020). The effect of bank liquidity and unemployment on bank credit risk. EuroEconomica, Vol 39, Issue no. 3.
  5. Marozva, G(2020) Liquidity mismatch Index and Bank's stock returns. Intermational journal of Economic and Business administration( IJEBA), 8(4), 318-335.
  6. Magwedere M.R, Chisasa J and Marozva G. (2020). Examining  the cointegrating relationship between financial intermediation and poverty in a selected panel of developing countries. Journal of Economic and Financial Sciences, 13(1)
  7. Marozva, G. (2019).  Liquidity and stock returns: New evidence from Johannesburg Stock exchange. The journak of Developing Areas, 53(2).
  8. Makoni, P.L.., & Marozva, G. (2018). The Nexus betweeen foreign portfolio invesgment and financial market development: Evidence from Mauritius. Academy of Strategic Management Journal, 17(5), 1-14.
  9. Marozva, G., & Makoni, P.L. (2018). Foreign direct investment, infrastructure development and economic growth in Africa Economies. Acta Universitatis Danibius Economica, 14(6).
  10. Marozva, G. & Magwedere M.R (2017). Macroeconomic variables,leverage, stock returns and stock return volatility.Acta Universitatis Danubis Economical, volume 13. Issue 4.
  11. Marozva, G. (2017) Africa stock markets cross-market linkages: A time- varying dynamic conditional correlations(DCC- GARCH) approach. Journal of applied Business Research (JABR), 33(2),321-328.
  12. 12. Marozva, G (2015) liquidity and bank performance: International Business & Economics Research Journal .Volume 14, Number 3.
  13. 13. Marozva, G. (2014) The performance of socially responsible investment funds and exchange traded funds: Evidence from Johnnesburg Stock Exchange: Corporate Ownership & control. Volume 11, Issue 1.
  14. 14.Marozva, G. (2014). A causal relationship between derivatives trading, capital market development and economic growth: evidence from South Africa: Corporate ownership &  control. Volume 11. Issue 2.
  15. 15. Marozva, G. (2012). Asset liquidity and bank profitability in South Africa: Published in the Journal of Corporate
  16. Ownership & contro. volume 11. Issue 3.