Groups & Publications

Groups & Publications

Curriculum Vitae

Profile

Personal

Name Mohamed Azzim Gulamhussen
Department Department of Finance
Category Associate Professor with "Agregação"
Research group Finance
Last update 2015-01-23 09:49:50

Teaching and Research Interests

  • Banking & Finance
  • Business Education

Qualifications

Type Course Institution Year
Doctorate degree Finance Henley Business School 2002
Master degree Management Science ISCTE-IUL Business School 1996
Undergraduate degree Business Administration European University 1993
Aggregation Finance ISCTE-IUL 2011
Dea Post Doctoral Studies / Fulbright, U.S. State Department Scholar Harvard University 2010

Contacts

E-mail
OfficeD5.25
Post box101-B
Phone217650522
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Ciência-IUL ProfileVisit Ciência-IUL Profile

Academic activities

Supervisions

PhD Thesis

Filipe Abreu, "The effectiveness of regulatory pressure in the context of the financial crisis", Mohamed Azzim Gulamhussen, PhD Thesis, Concluded, 2012
Carlos Manuel Pinheiro, "Essays on cross-border banking", Mohamed Azzim Gulamhussen, PhD Thesis, Concluded, 2011
Samuel DaRocha Lopes, "Essays on credit risk management for firms", Mohamed Azzim Gulamhussen, PhD Thesis, Concluded, 2009
Elisabete Félix, "Determinants of divestment of venture capitalists in Europe", Mohamed Azzim Gulamhussen, PhD Thesis, Concluded, 2008

Master Thesis

Helena de Fátima Bastos Ribeiro Pereira de Atouguia de Alvarenga, "Do Credit Rating Notations Affect U.S. Comercial Banks' Leverage Levels? New findings on the effects of the financial crisis", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2013
Diogo Alves, "Market reaction to the adoption of Basel accords in the European banking industry", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2012
Rui Sousa, "Ownership structure and market value of banks", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2011
Joana Machado Guerra, "Executive Compensation in Banking.", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2010
Alberto Razul, "Executive compensation in a model of the banking firm", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2008
Emídio Salvador, "Financial liberalization and growth (Examiner: Her Excellency the Prime Minister (Former Finance Minister) of Mozambique Dr. Luísa Diogo)", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2008
Gabriela Gueifão, "O impacto da aplicação e pela primeira vez das normas internacionais de contabilidade nas empresas cotadas", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2007
Luís Guerreiro, "The impact of foreign ownership and board directors on the performance of domestic banks", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2006
Samuel DaRocha Lopes, "Estimates of default probabilities derived from financial and non-financial data", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2005
Ewa Pinkowska, "Closure and survival of banks under uncertainty", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2005
Sandra Conraria-Aguiar, "O impacte do risco político no investimento directo estrangeiro no Brasil", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2005
Stella Christodoulou, "Finite differences applied to stochastic problems in pricing derivatives", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 2000
Vincent James Green, "A financial model and application of the semi-Lagrangian time-stepping scheme", Mohamed Azzim Gulamhussen, Master Thesis, Concluded, 1999

Final Project

Pedro Ricardo Gonçalves Ferreira Marques, "Bank Relationships and Firms Performance: The case of Small and micro firms", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2013
Marta Isabel Guerra Alves, "Bank Failures in Europe During the Financial Crisis", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2012
Vanessa Andreia da Silva Picareta, "Strategic Growth Option Under the Threat of Cournot, Bertrand and Stackelberg Competition", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2012
Diogo Gonçalo Abrantes Alves, "Market Reaction to the Adoption of Basel Accords in the European Banking Industry", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2012
Malik Ismail Alidina, "Aprovação do Regulamento que Transpõe o Acordo Basileia II: O caso dos bancos dos Estados Unidos da América", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2012
Paulo Guilherme Soares de Oliveira, "Custo de Capital Internacional ", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2010
Sílvia Maria Ferreira Marques dos Santos Fonte Santa, "Corporate Governance in Banking - Women in Bamk Boarddrooms and their Influence on Performance and Risck-Taking.", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2009
João Filipe Gonçalves de Jesus, "Project Finance International: Impacto do Risco na Determinação do Custo de Capital: Estudo de Caso.", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2009
Áurea Filipa da Ponte Coutinho Marques, "Why Standard Risk Models Failed in the Subprime Crisis?", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2009
João Paulo Batista Safara, "Finanças Islâmicas - Estruturação de Produtos de Investimento.", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2009
Carla Teresa Fernandes, "Corporate Governance in Banking:The Portuguese Case.", Mohamed Azzim Gulamhussen, Final Project, Concluded, 2009

Scientific Activities

Scientific Articles in International Journals

Clare, A., Duygun, M., Gulamhussen, M. A. & Pozzolo, A. F. (2016). Bank business models, regulation, and the role of financial market participants in the global financial crisis. Journal of Banking and Finance. 72, S1-S5, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A. & Hennart, J.-F. (2016). What drives cross-border M&As in commercial banking?. Journal of Banking and Finance. 72, 6-18, Ciência-IUL, Indexada (SCOPUS/ISI)
Abreu, J. F. & Gulamhussen, M. A. (2015). The effectiveness of regulatory capital requirements prior to the onset of the financial crisis. International Review of Finance. 15 (2), 199-221, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A. & Santa, S. F. (2015). Female directors in bank boardrooms and their influence on performance and risk-taking. Global Finance Journal. 28, 10-23, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2014). International diversification and risk of multinational banks: evidence from the pre-crisis period. Journal of Financial Stability. 13, 30-43, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A. & Lavrador, I. M. M. (2014). Internal capital markets and the funding of subsidiaries of multinational banks. International Finance. 17 (3), 357-380, Ciência-IUL, Indexada (SCOPUS/ISI)
Bhimani, A., Gulamhussen, M. A. & Lopes, S. R. (2014). Owner liability and financial reporting information as predictors of firm default in bank loans. Review of Accounting Studies. 19 (2), 769-804, Ciência-IUL, Indexada (SCOPUS/ISI)
Félix, E., Pires, C. & Gulamhussen, M. A. (2014). The exit decision in the European venture capital market. Quantitative Finance. 14 (6), 1115-1130, Ciência-IUL, Indexada (SCOPUS/ISI)
Abreu, J. F. & Gulamhussen, M. A. (2013). Dividend payouts: evidence from U.S. bank holding companies in the context of the financial crisis. Journal of Corporate Finance. 22 (1), 54-65, Ciência-IUL, Indexada (SCOPUS/ISI)
Félix, E., Pires, C. & Gulamhussen, M. A. (2013). The determinants of venture capital across Europe: evidence across countries. Journal of Financial Services Research. 44 (3), 259-279, Ciência-IUL, Indexada (SCOPUS/ISI)
Clare, A., Gulamhussen, M. A. & Pinheiro, C. (2013). What factors cause foreign banks to stay in London?. Journal of International Money and Finance. 32 (1), 739-761, Ciência-IUL, Indexada (SCOPUS/ISI)
Abreu, J. F. & Gulamhussen, M. A. (2013). The stock market reaction to the public announcement of a supranational list of too-big-to-fail banks during the financial crisis. Journal of International Financial Markets, Institutions & Money. 25 (1), 49-72, Ciência-IUL, Indexada (SCOPUS/ISI)
Bhimani, A., Gulamhussen, M. A. & Lopes, S. R. (2013). The role of financial, macroeconomic, and non-financial information in bank loan default timing prediction. European Accounting Review. 22 (4), 739-763, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A. & Sousa, R. (2012). The influence of managerial ownership on bank market value, performance, and risk: evidence from banks listed on the stoxx global index. Journal of International Financial Management and Accounting. 23 (2), 121-153, Ciência-IUL, Indexada (SCOPUS/ISI)
Aguiar, S., Aguiar-Conraria, L., Gulamhussen, M. A. & Magalhães, Pedro (2012). Foreign direct investment and home-country political risk: the case of Brazil. Latin American Research Review. 47 (2), 144-165, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A. (2012). FDI in investment banking. Thunderbird International Business Review. 54 (6), 921-934, Ciência-IUL, Indexada (SCOPUS)
Gulamhussen, M. A. & Pozzolo, A. (2012). Internationalization, diversification and risk in multinational banks. Bancaria. 11, 28-40, Ciência-IUL
Bhimani, A., Gulamhussen, M. A. & Lopes, S. D. R. (2010). Accounting and non-accounting determinants of default: an analysis of privately-held firms. Journal of Accounting and Public Policy. 29 (6), 517-532, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A. & Guerreiro, L. (2009). The influence of foreign equity and board membership on corporate strategy and management of internal costs in Portuguese banks. Management Accounting Research. 20 (1), 6-17, Ciência-IUL, Indexada (SCOPUS/ISI)
Bhimani, A., Gulamhussen, M. A. & Lopes, S. (2009). The effectiveness of auditor's going concern evaluation as an external governance mechanism: Evidence form bank loan defaults. The International Journal of Accounting. 44 (3), 239-255, Ciência-IUL, Indexada (SCOPUS)
Gulamhussen, M. A. (2009). A theoretical perspective on the location of banking FDI. Management International Review. 49 (2), 163-178, Ciência-IUL, Indexada (SCOPUS/ISI)
Casson, M., Dark, K. & Gulamhussen, M. A. (2009). Extending internalisation theory. International Business Review . 18 (3), 236-256, Ciência-IUL, Indexada (SCOPUS/ISI)
Gulamhussen, M. A. (2007). Choice of scale by banks in financial centers. International Business Review . 16 (4), 507-525, Ciência-IUL, Indexada (SCOPUS/ISI)
Esperança, J. P., Gama, A. P. M. & Gulamhussen, M. A. (2003). Corporate debt policy of small firms: an empirical (re)examination. Journal of Small Business and Enterprise Development. 10 (1), 62-80, Ciência-IUL, Indexada (SCOPUS)
Esperança, J. & Gulamhussen, M. A. (2002). A note on foreign bank investment in the USA. Applied Financial Economics. 12 (1), 39-46, Ciência-IUL, Indexada (SCOPUS)
Esperança, J. & Gulamhussen, M. A. (2001). (Re)Testing the 'follow the customer' hypothesis in multinational bank expansion. Journal of Multinational Financial Management. 11 (3), 281-293, Ciência-IUL, Indexada (SCOPUS)

Books

Reto, L., Esperança, J., Gulamhussen, M. A., Machado, FL & Costa, AF (2012). Potencial Económico da Língua Portuguesa. Lisboa. Texto., Ciência-IUL
Esperança, J., Reto, L., Gulamhussen, M. A., Machado, FL & Costa, AF (2012). O Valor da Língua Portuguesa: uma Perspetiva Económica e Comparativa. Lisboa. Instituto Internacional de Macau e Observatório da Língua Portuguesa., Ciência-IUL
Gulamhussen, M. A. & Conraria-Aguiar, S. (2009). O Impacte do Risco Político sobre o Investimento Directo Estrangeiro. Edições Sílabo., Ciência-IUL
Gulamhussen, M. A. (2009). O Investimento Directo Estrangeiro no Sector da Banca. Bnomics., Ciência-IUL

Book Chapters

Mohamed Gulamhussen, Gabriela Gueifão (2011) "Analysis of changing institutional environments, new accounting policies, and corporate governance practices in Portugal.", RoutledgeGulamhussen, M. A. & Gueifão, G. (2011). Analysis of changing institutional environments, new accounting policies, and corporate governance practices in Portugal. In V. Krivogorsky (Ed.) (Ed.), Law, Corporate Governance, and Accounting : European Perspectives. (pp. 175-189). New York: Routledge., Ciência-IUL
Mark Casson, Peter J. Buckley, Mohamed Gulamhussen (2005) "Internationalisation - Real options, knowledge management and the Uppsala approach", Edward ElgarCasson, M., Buckley, P. & Gulamhussen, M. A. (2005). Internationalisation - Real options, knowledge management and the Uppsala approach. In Rugman, A. and Li, J. (Ed.), Real options and international investment. (pp. 3-35). Cheltenham: Edward Elgar., Ciência-IUL
Mark Casson, Peter J. Buckley, Mohamed Gulamhussen (2002) "Internationalisation - Real options, knowledge management and the Uppsala approach", PergamonCasson, M., Buckley, P. & Gulamhussen, M. A. (2002). Internationalisation - Real options, knowledge management and the Uppsala approach. In Havila, V., Forsgren, M. and Hakansson, H. (Ed.), Critical perspectives on internationalisation. (pp. 229-262). Amsterdam: Pergamon., Ciência-IUL
Mark Casson, Mohamed Gulamhussen (2000) "Real options in international business", Edward ElgarCasson, M. & Gulamhussen, M. A. (2000). Real options in international business. In Casson, M. (Ed.), Economics of international business; A new research agenda. (pp. 189-227). Cheltenham: Edward Elgar., Ciência-IUL

Working Papers

Clare, A., Gulamhussen, M. & Pinheiro, C. (2013). Multimarket contact and the cross-border expansion of commercial banks. Cass Business School - Working Paper Series. 1-39, Ciência-IUL
Bhimani, A., Gulamhussen, M. & Lopes, S. (2013). The role of financial, macroeconomic and non-financial information in bank loan default timing prediction. SSRN. 0-0, Ciência-IUL
Clare, A., Gulamhussen, M. & Pinheiro, C. (2012). What factors cause foreign banks to stay in London?. Working Paper Series - Cass Business School. 0-0, Ciência-IUL
Gulamhussen, M., Pinheiro, C. & Pozzolo, A. (2012). Were multinational banks taking excessive risks before the recent financial crisis?. MoFiR, Money and Finance Research Group (Università Politecnica delle Marche). 0-0, Ciência-IUL
Gulamhussen, M., Pinheiro, C. & Pozzolo, A. (2012). Internationalization, diversification and risk in multinational banks. SSRN. 0-0, Ciência-IUL
Clare, A., Gulamhussen, M. & Pinheiro, C. (2011). Why do foreign banks stay in London?. Working Papers - Cass Business School. 0-0, Ciência-IUL
Gulamhussen, M., Pinheiro, C. & Pozzolo, A. (2011). Were multinational banks taking excessive risks before the recent financial crisis?. SSRN. 0-0, Ciência-IUL
Gulamhussen, M. & Fonte Santa, S. (2010). Women in bank boardrooms and their influence on performance and risk-taking. SSRN. 0-0, Ciência-IUL
Gulamhussen, M., Pinheiro, C. & Pozzolo, A. (2010). Do multinational banks create or destroy economic value?. SSRN. 0-0, Ciência-IUL
Félix, E., Esperança, J., Gulamhussen, M. & Pires, C. (2009). Uma Análise do Mercado de Capital de Risco Português: Saídas Parciais Versus Saídas Totais. CEFAGE-UE Working Paper . 1-28, Ciência-IUL

Research Projects

National Government/ Organization contract research - Banking: Globalization, Governance and Regulation, 2011-2014, Investigador Principal, ISCTE-IUL, PTDC/EGE-ECO/114977/2009, Classificação "Excelente" pelo painel FCT
National Government/ Organization contract research - Multidisciplinary strategic project, 2011-2012, Investigador Principal, ISCTE-IUL, PEst-OE/EGE/UI0315/2011, -
National Government/ Organization contract research - Corporate governance in middle income countries, 2007-2010, Membro, ISCTE-IUL, FCT/PTDC/GES/72859/2006, Classificação "Excelente" pelo painel FCT

International Communications

Oral Presentation

Gulamhussen, M. A. & Da-Rocha-Lopes, S. (2016). The impact of interbank activity on government recapitalization programs. IFABS 2016 Barcelona Conference., Ciência-IUL
Gulamhussen, M. A. & Abreu, J. F. (2015). CEO compensation in financial firms during the financial crisis. IFABS 2015 Oxford Conference., Ciência-IUL
Abreu, F. & Gulamhussen, M. A. (2014). Executive compensation and board composition in the banking industry: the role of regulation. 6th IFABS International Conference on Alternative Futures for Global Banking: Competition, Regulation and Reform., Ciência-IUL
Gulamhussen, M. A. & Hennart, J.-F. (2014). What drives cross-border M&As in commercial banking? . Alternative Futures for Global Banking: Competition, Regulation and Reform., Ciência-IUL
Abreu, F. & Gulamhussen, M. A. (2013). Executive compensation and board composition in the banking industry. 5th International Finance and Banking Society., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2012). Were multinational banks taking excessive risks before the recent financial crisis?. International Finance and Banking Society ., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2012). Were multinational banks taking excessive risks before the recent financial crisis?. 20th International Tor Vergata Conference on Money, Banking and Finance., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2012). Were multinational banks taking excessive risks before the recent financial crisis?. World Finance Conference., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2012). Were multinational banks taking excessive risks before the recent financial crisis?. International Risk Management Conference of the New York University Solomon Center ., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2012). Were multinational banks taking excessive risks before the recent financial crisis?. World Finance & Banking Symposium., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2011). Were multinational banks taking excessive risks before the recent financial crisis?. 9th Paris International Finance Meeting., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2011). Do multinational banks create or destroy economic value?. International Economic Association., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2011). Were multinational banks taking excessive risks before the recent financial crisis?. Midwest Finance Association., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2011). Do multinational banks create or destroy economic value?. International Finance and Banking Society ., Ciência-IUL
Abreu, F. & Gulamhussen, M. A. (2011). Why do banks pay dividends? Cross country evidence in the context of the financial crisis. The European Conference on Banking and the Economy - Univ. of Southampton., Ciência-IUL
Abreu, F. & Gulamhussen, M. A. (2010). The relationship between capital requirements and bank behavior: A revision in the light of Basel II. European Financial Management Association ., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2010). Do multinational banks create or destroy economic value?. 19th Tor Vergata Conference., Ciência-IUL
Abreu, F. & Gulamhussen, M. A. (2010). The relationship between capital requirements and bank behavior: A revision in the light of Basel II. Regulation in the Age of Crisis - Regulatory Governance - ECPR Standing Group., Ciência-IUL
Gulamhussen, M. A., Pinheiro, C. & Pozzolo, A. (2010). Do multinational banks create or destroy economic value?. 8th Paris International Finance Meeting., Ciência-IUL
Gulamhussen, M. A. (2009). The optimal timing of foreign direct investment. Harvard University CES Seminar Series., Ciência-IUL
Gulamhussen, M. A. & Razul, A. (2007). Executive compensation: Modelling the costs of alternative pay modes. London School of Economics., Ciência-IUL
Gulamhussen, M. A. (2004). Market entry of foreign banks under uncertainty: A real option theory approach . 2004 European Financial Management Association (EFMA)., Ciência-IUL
Gulamhussen, M. A. (2003). Timing and choice of scale by banks in financial centres. Australasian Finance & Banking Conference (w/ Journal of Banking and Finance)., Ciência-IUL
Gulamhussen, M. A. (2003). Timing and choice of scale by banks in financial centres. Bank of England Financial Stability Seminar Series., Ciência-IUL
Gulamhussen, M. A., Ioannides, M. & Singh, K. (2001). Pricing bond options with the semi-Lagrangian time integration scheme. Multinational Finance Society Conference., Ciência-IUL
Gulamhussen, M. A., Ioannides, M. & Singh, K. (1999). A comparative analysis of alternative numerical schemes for pricing bond options. Money Macro & Finance Research Group Conference., Ciência-IUL
Gulamhussen, M. A., Ioannides, M. & Singh, K. (1999). Pricing bond options with the semi-Lagrangian time integration scheme. Australasian Finance & Banking Conference (w/ Journal of Banking & Finance)., Ciência-IUL
Gulamhussen, M. A. (1998). Real options and foreign direct investment. International Economists Study Group Conference., Ciência-IUL
Esperança, J. & Gulamhussen, M. A. (1995). Foreign Direct Investment in the Banking Industry . 21st EIBA Annual Conference., Ciência-IUL

Other Activities

Academic Management Positions

Director de Unidade de Investigação UNIDE-IUL (2010/2012)
Membro do Plenário da Comissão Científica da Escola de Gestão (2010/2012)
Presidente da Comissão Científica da Unidade de Investigação UNIDE-IUL (2010/2013)
Membro da Comissão Permanente da Comissão Científica da Escola de Gestão (2010/2012)
Membro do Plenário do Conselho Científico do ISCTE-IUL (2010/2012)
Presidente da Comissão Pedagógica da Escola de Gestão (2012/2015)
Presidente da Comissão Permanente da Comissão Científica da Escola de Gestão (2012/2015)
Director da Escola de Gestão (2012/2015)
Presidente do Plenário da Comissão Científica da Escola de Gestão (2012/2015)