School of Business

Markets, Institutions and Investors

Lead: Professor Ania Zalewska

We conduct cutting-edge, cross-disciplinary research on the fundamental properties of financial markets, financial institutions and different groups of investors, and how these properties are affected by and impact regulation, technological innovation, and economic and environmental/climate conditions.  

The range of topics we are interested in includes, but is not limited to:

  1. Changes in and drivers of market risk
  2. Development, stability and regulation of the banking and insurance sectors
  3. Growth and investment practices of financial intermediaries (including mutual funds, pension funds, hedge funds)
  4. Equity, fixed income, commodities and alternative asset pricing
  5. Behaviour and decision making of institutional investors, retail investors and households.

Our research provides insights into the complexities of modern financial systems, shapes policy, industry practices, and academic discourse.

People

 

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