Professor Sabur Mollah
BCOM, MCOM, PhD.
Management School
Chair in Financial Management
+44 114 215 7184
Full contact details
Management School
Room C087
葫芦影业 University Management School
Conduit Road
葫芦影业
S10 1FL
- Profile
-
Sabur Mollah holds a Chair in Financial Management at 葫芦影业 University Management School. Before joining the University of 葫芦影业, he was a Professor of Accounting and Finance at Swansea University and a Professor of Finance at the University of Hull.
Sabur previously held several administrative roles, including Member of the Senate, Head of School, Director of Research, etc. He has founded the Academy of Sustainable Finance, Accounting, Accountability & Governance (ASFAAG).
His papers have appeared in world-leading and internationally excellent journals, including the Journal of Accounting and Economics, the Journal of Corporate Finance, the Journal of Banking and Finance, the Journal of Financial Stability, etc.
He serves as the Editor-in-Chief of the Journal of Sustainable Finance and Accounting.
- Qualifications
-
- PhD - University of Leeds. Docent in Business Administration (specialization in Corporate Finance)
- Stockholm University. MCOM Finance 1st Class, University of Dhaka.
- BCOM (Hons) Finance 1st Class, University of Dhaka.
- Research interests
-
- FinTech and sustainable finance
- Environmental innovation
- Climate finance
- Climate risk governance
- EDI in the boardroom and responsible banking
- Green banking
- Responsible banking and UNEP FI
- Climate risk
- Board gender diversity and environmental sustainability
- Gender diversity and gender pay gap
- Child labour and responsible business
- Outsourcing CO2 emissions and net zero targets
- Responsible business and climate finance
- Publications
-
Books
Journal articles
- . Finance Research Letters, 106319-106319.
- . Journal of Financial Stability, 101324-101324.
- . Journal of Sustainable Finance and Accounting, 1, 100005-100005.
- . Technological Forecasting and Social Change, 199, 123063-123063.
- . Technological Forecasting and Social Change, 197, 122919-122919.
- . Corporate Governance: The International Journal of Business in Society, 23(4), 888-919.
- . Journal of Financial Stability, 101082-101082.
- . Journal of International Financial Markets, Institutions and Money, 80, 101644-101644.
- . Journal of Corporate Finance, 70.
- . British Journal of Management.
- . Review of Corporate Finance, 1(1-2), 135-180.
- . Journal of Financial Stability.
- . International Review of Financial Analysis, 101587-101587.
- Financial Statement Comparability, Earnings Smoothing and Loan-Loss Provisioning in Banking.
- . Review of Quantitative Finance and Accounting.
- In Search of Opportunistic Trades of Corporate Insiders: Evidence from the US Market.
- . Journal of Financial Services Research.
- . The British Accounting Review, 50(4), 341-363.
- . Journal of Accounting and Economics, 64(1), 37-55.
- . Journal of Corporate Finance, 44(J. Financ. vol. LXIX 2014), 149-166.
- . Journal of Financial Services Research, 51(2), 195-219.
- Asset Securitization and Bank Risk: Do Religiosity or Ownership Structure Matter?.
- . Journal of Financial Stability, 27, 59-73.
- . Journal of Financial Stability, 24, 1-11.
- . Journal of International Financial Markets, Institutions and Money, 41, 151-167.
- . Journal of Banking & Finance, 58, 418-435.
- . Review of Quantitative Finance and Accounting, 44(3), 493-511.
- . Journal of International Financial Markets, Institutions and Money, 32, 107-127.
- . International Journal of Accounting & Information Management, 21(2), 148-169.
- . Studies in Economics and Finance, 29(4), 301-319.
- . Studies in Economics and Finance, 28(2), 118-135.
- . Studies in Economics and Finance, 27(2).
- . Studies in Economics and Finance, 26(4), 257-274.
- . Review of Quantitative Finance and Accounting.
- . Business Strategy and the Environment.
- . International Journal of Finance & Economics.
- . Review of Accounting and Finance.
- Female Chief Risk Officers (Cros) and Risk-Taking in Banks.
Chapters
- , Contributions to Statistics (pp. 149-169). Springer International Publishing
- Market Integration in Developed and Emerging Markets, GLOBAL STOCK MARKET INTEGRATION: CO-MOVEMENT, CRISES, AND EFFICIENCY IN DEVELOPED AND EMERGING MARKETS (pp. 73-97).
- Market Integration and Causality in Developed and Emerging Markets during Crisis Periods, GLOBAL STOCK MARKET INTEGRATION: CO-MOVEMENT, CRISES, AND EFFICIENCY IN DEVELOPED AND EMERGING MARKETS (pp. 115-134).
- Market Efficiency in Emerging Markets: Evidence from African and Central European Markets, GLOBAL STOCK MARKET INTEGRATION: CO-MOVEMENT, CRISES, AND EFFICIENCY IN DEVELOPED AND EMERGING MARKETS (pp. 9-72).
- Global Stock Market Integration Co-Movement, Crises, and Efficiency in Developed and Emerging Markets Introduction, GLOBAL STOCK MARKET INTEGRATION: CO-MOVEMENT, CRISES, AND EFFICIENCY IN DEVELOPED AND EMERGING MARKETS (pp. 1-7).
- Global Stock Market Integration Co-Movement, Crises, and Efficiency in Developed and Emerging Markets Executive Summary, GLOBAL STOCK MARKET INTEGRATION: CO-MOVEMENT, CRISES, AND EFFICIENCY IN DEVELOPED AND EMERGING MARKETS (pp. XIII-+).
- Global Stock Market Integration Co-Movement, Crises, and Efficiency in Developed and Emerging Markets Conclusions, GLOBAL STOCK MARKET INTEGRATION: CO-MOVEMENT, CRISES, AND EFFICIENCY IN DEVELOPED AND EMERGING MARKETS (pp. 135-135).
- Determinants of Market Co-Movement in Developed and Emerging Markets, GLOBAL STOCK MARKET INTEGRATION: CO-MOVEMENT, CRISES, AND EFFICIENCY IN DEVELOPED AND EMERGING MARKETS (pp. 99-113).
- , Market Microstructure in Emerging and Developed Markets (pp. 463-481). John Wiley & Sons, Inc.
- , Contemporary Islamic Finance (pp. 245-253). John Wiley & Sons, Inc.
Preprints
- Grants
-
Title: Cyber Risk and Bank Stability: Global Evidence
- Awarding body: Taylor鈥檚 University Flagship Research, Malaysia
- Date: 2017 - 2022
- Key people: Dr Md. Hamid Uddin (PI) and Prof Sabur Mollah (Co-PI)
- Amount: 拢32,000
Title: The co-dependence between bank and sovereign risk in Europe and the potential benefits of a banking union
- Awarding body; VINNOVA Research Foundation
- Date: 2013 - 2015
- Key people: Dr Asma Mobarek (PI) and Prof Sabur Mollah (Co-PI)
- Amount: 拢18,000
Title: IFRS and Market Efficiency: Studying the Impact of IFRS Adoption on Market Efficiency around the World
- Awarding body: Jan Wallanders Och Tom Hedelius Stiftelse Tore Browaldhs Foundation
- Date: 2011 - 2016
- Key people: Prof. Sabur Mollah (PI), Dr. Waresul Karim and Prof. Tony van Zijl
- Amount: 拢180,000
Cross-country Random Walk Hypothesis and Mean Reverting Long-Memory Properties of Stock Returns: Does the duration for mean reversion varies in equity returns between Pre, during and Post Crisis period?
- Awarding body: NASDAQ-OMX Nordic Foundation
- Date: 2011 - 2016
- Key people: Prof. Sabur Mollah
- Date: 拢45,000
Title: Corporate Governance Failure of Large Banks during Global Financial Crisis
- Awarding body: Jan Wallanders Och Tom Hedelius Stiftelse Tore Browaldhs Foundation
- Date: 2010 - 2016
- Awarding body: Prof. Sabur Mollah (PI) Dr. Waresul Karim
- Amount: 拢180,000
Title: Contagion and Co-integration in Financial Markets during Financial Crisis
- Awarding body: NASDAQ-OMX Nordic Foundation
- Date: 2009 - 2016
- Key people: Prof. Sabur Mollah (PI)
- Amount: 拢45,00
- Teaching interests
-
Sabur鈥檚 passion is mastering the art of engaging students in a structured process that fosters their critical thinking, helps develop their problem-solving ability, and facilitates their acquisition of life-long learning skills.
Sabur believes every student can succeed, but some need appropriate guidance to climb the ladder to success. He also believes that every student is unique and deserves activities that engage their strengths.
Sabur poses challenging questions that help them develop their creativity. He creates a cooperative, fair, and flexible classroom environment so his students can think positively, discover their beliefs, and feel better about the world.
- Teaching activities
-
- MGT61097 Sustainable Finance
- MGT6097 Corporate Finance
- MGT6091 Issues in Finance
- Professional activities and memberships
-
- Editor-in-Chief: .
- President: the (ASFAAG)
- PhD Supervision
I want to supervise PhD students in the areas of FinTech and sustainable finance, environmental innovation, climate finance, climate risk governance, EDI in the boardroom and responsible banking, green banking, responsible banking and UNEP FI, climate risk, board gender diversity and environmental sustainability, gender diversity and gender pay gap, child labour and responsible business, outsourcing CO2 emissions and net zero targets, responsible business and climate finance, etc.
Professor Sabur Mollah supervises:
PhD student Md Hamim
Links