Mohamed Azzim Gulamhussen
Ph D: Henley Business School, Economics, 2001
Master: ISCTE, Ciências Empresariais, 1995
Bachelor: , Organização e Gestão de Empresas, 1993
FCT research center:
Unidade de Investigação em Desenvolvimento Empresarial - UNIDE (2015)
REBIDES institution:
ISCTE - Instituto Universitário de Lisboa (2015)
Researcher id:
Articles 16:

Credit Risk, Owner Liability, and Bank Loan Maturities during the Global Financial Crisis
Fabio Duarte , Ana Paula Matias Gama, Mohamed Azzim Gulamhussen
European Financial Management, vol. 26, 2020, p. 628-683.

State Interventions to Rescue Banks during the Global Financial Crisis
José Filipe Abreu, Marta Guerra Alves, Mohamed Azzim Gulamhussen
International Review Of Economics And Finance, vol. 62, 2019, p. 213-229.

Defaults in bank loans to SMEs during the financial crisis.
Fabio Duarte , Ana Paula Matias Gama, Mohamed Azzim Gulamhussen
Small Business Economics, vol. 51, 2018, p. 591-608.

Do Multinational Banks Create or Destroy Shareholder Value? A Cross-Country Analysis
Mohamed Azzim Gulamhussen, Carlos Manuel Pinheiro, Alberto Franco Pozzolo
Financial Markets Institutions And Instruments, vol. 26, 2017, p. 295-313.

Bank Business Models, Regulation, and the Role of Financial Market Participants in the Global Financial Crisis
Andrew Clare, Meryem Duygun, Mohamed Azzim Gulamhussen, Alberto Franco Pozzolo
Journal of Banking and Finance, vol. 72, 2016, p. S1-5.

What Drives Cross-Border M&As in Commercial Banking?
Mohamed Azzim Gulamhussen, Jean-Francois Hennart, Carlos Pinheiro
Journal of Banking and Finance, vol. 72, 2016, p. S6-18.

Female Directors in Bank Boardrooms and Their Influence on Performance and Risk-Taking
Mohamed Azzim Gulamhussen, Silvia Fonte Santa
Global Finance Journal, vol. 28, 2015, p. 10-23.

Internal Capital Markets and the Funding of Subsidiaries of Multinational Banks
Mohamed Azzim Gulamhussen, Isabel Maria Monteiro Lavrador
International Finance, vol. 17, 2014, p. 357-380.

International Diversification and Risk of Multinational Banks: Evidence from the Pre-crisis Period
Mohamed Azzim Gulamhussen, Carlos Pinheiro, Alberto Franco Pozzolo
Journal Of Financial Stability, vol. 13, 2014, p. 30-43.

Owner Liability and Financial Reporting Information as Predictors of Firm Default in Bank Loans
Alnoor Bhimani, Mohamed Azzim Gulamhussen, Samuel Da-Rocha-Lopes
Review of Accounting Studies, vol. 19, 2014, p. 769-804.

The Exit Decision in the European Venture Capital Market
Elisabete Gomes Santana Félix, Cesaltina Pires, Mohamed Azzim Gulamhussen
Quantitative Finance, vol. 14, 2014, p. 1115-1130.

Dividend Payouts: Evidence from U.S. Bank Holding Companies in the Context of the Financial Crisis
Mohamed Azzim Gulamhussen, José Filipe Abreu
Journal of Corporate Finance, vol. 22, 2013, p. 54-65.

The Determinants of Venture Capital in Europe--Evidence across Countries
Cesaltina Pires, Mohamed Azzim Gulamhussen, Elisabete Gomes Santana Félix
Journal Of Financial Services Research, vol. 44, 2013, p. 259-279.

The Stock Market Reaction to the Public Announcement of a Supranational List of Too-Big-to-Fail Banks during the Financial Crisis
Mohamed Azzim Gulamhussen, José Filipe Abreu
Journal Of International Financial Markets, Institutions And Money, vol. 25, 2013, p. 49-72.

What Factors Cause Foreign Banks to Stay in London?
Andrew Clare, Mohamed Azzim Gulamhussen, Carlos Pinheiro
Journal of International Money and Finance, vol. 32, 2013, p. 739-761.

A Note on Foreign Bank Investment in the USA
José Paulo Esperança, Mohamed Azzim Gulamhussen
Applied Financial Economics, vol. 12, 2002, p. 39-46.