Investment and Financial Risk Management MSc: Research areas
Current research in this subject
The Banking and Finance MSc staff have published in a wide range of journals, including:
- Journal of Banking and Finance;
- Multinational Finance Journal;
- Journal of Financial Regulation and Compliance;
- Journal of Banking Regulation;
- European Financial Management Journal;
- Journal of Financial Services Marketing;
- Finance Letters;
- Journal of Insurance Regulation;
- Journal of Insurance Research and Practices;
- Research in Banking and Finance;
- Journal of Applied Accounting Research;
- Journal of Policy Modelling;
- Economics of Transition;
- Emerging Markets Finance and Trade; and
- Economics of Transition.
They have also published relevant text books and book chapters, including Reading and Understanding the Financial Times (FT Prentice-Hall, 2008) and Risk Management in Emerging Markets (Palgrave Macmillan).
The staff are currently supervising a number of PhD/DBA students, and are willing to supervise suitably qualified doctoral candidates in all areas of banking, M&As, divestments and corporate restructuring, corporate dividend policy, capital structure choices, bancassurance, insurance and risk management, Islamic banking and insurance (Takaful), and regulation and governance of financial institutions.
For doctoral enquiries, please visit our doctoral web pages.
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