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)

NRF Rating

C3

Fields of academic interests

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

Paper presentations

  • Inequality in Low- and Medium-Income Countries: Does Fiscal Policy Matter?
    The World Finance Conference, Cyprus (July 30 – August 2, 2024)
  •  Financial Inclusion and Remittances Nexus: A System GMM Approach

        The World Finance Conference, Vilnius, Lithuania (December 13 – 15, 2023)

  •  Monetary Policy and Inequality Interactions: Should Central Banks Be Concerned?

         The World Finance Conference, Turin, Italy (August 1 – 3, 2022)

  •  Relationship Between Bank Liquidity, Unemployment, and Credit Risk

       32nd Australasian Finance and Banking Conference, Sydney, Australia (December 15 – 18, 2019)

  •  Liquidity Risk and Asset-Liability Mismatches: Evidence from South Africa

        9th Annual Financial Market Liquidity Conference, Corvinus University of Budapest, Budapest, Hungary (November 15 – 16, 2018)

  •  An Empirical Study of Liquidity Risk Embedded in Banks’ Asset-Liability Mismatches

        Africa Finance Journal Conference, Victoria Falls, Zimbabwe (May 19 – 21, 2017)

  •  Africa Stock Markets Cross-Market Linkages: A Time-Varying Dynamic Conditional Correlations (DCCs) Approach

        The Clute Institute 2015 International Business & Education Conferences, London, United Kingdom (June 7 – 11, 2015)

  •  Liquidity and Bank Performance

       The Clute Institute Conference, Las Vegas, USA (October 4, 2014)

  •  Liquidity and Stock Returns: New Evidence from the JSE

        International Finance Services Conference (IFS), Boardwalk Hotel, South Africa (October 12 – 15, 2015)

  •  A Dynamic Approach to Portfolio Optimization in Emerging Markets: An Empirical Analysis of Traditional and Behavioral Finance. The Case of South Africa

       Africa Finance Journal Conference, Namibia (April 14 – 15, 2011)

Professional positions, fellowships & awards