Department of Finance, Risk Management and Banking
College of Economic and Management Sciences |
School of Economic and Financial Sciences |
Department: Finance, Risk Management and Banking |
Professor
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Tel: |
012 429 4977
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E-mail: |
Marozg@unisa.ac.za
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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
Journal articles
- Marozva, G., & Makina , D.(2020).Liquidity risk and assets liabilty mismatches: evidence from South Africa.Studies in Economics and Econometrics,44(1), 73-112.
- 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.
- Marozva, G. (2020). Stock Market Liquidity and monetary Policy. International Journal of Economics & Business Administration (IJEBA), 8(2), 265-275.
- Marozva, G & Mutezo, A. T. (2020). The effect of bank liquidity and unemployment on bank credit risk. EuroEconomica, Vol 39, Issue no. 3.
- Marozva, G(2020) Liquidity mismatch Index and Bank's stock returns. Intermational journal of Economic and Business administration( IJEBA), 8(4), 318-335.
- 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)
- Marozva, G. (2019). Liquidity and stock returns: New evidence from Johannesburg Stock exchange. The journak of Developing Areas, 53(2).
- 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.
- Marozva, G., & Makoni, P.L. (2018). Foreign direct investment, infrastructure development and economic growth in Africa Economies. Acta Universitatis Danibius Economica, 14(6).
- Marozva, G. & Magwedere M.R (2017). Macroeconomic variables,leverage, stock returns and stock return volatility.Acta Universitatis Danubis Economical, volume 13. Issue 4.
- 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. Marozva, G (2015) liquidity and bank performance: International Business & Economics Research Journal .Volume 14, Number 3.
- 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.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. Marozva, G. (2012). Asset liquidity and bank profitability in South Africa: Published in the Journal of Corporate
- Ownership & contro. volume 11. Issue 3.