About
Dr. Vahid Saadi is a Senior Lecturer in Finance at the Management School of the University of Liverpool. He holds a PhD in Finance from Goethe University, Frankfurt. His research focuses on empirical banking, particularly bank lending standards in corporate and real estate sectors, and their intersections with trade policy and financial crises. His work has contributed to understanding the 2008 financial crisis and regulatory frameworks like the Community Reinvestment Act.
Teaching: Coordinates the Financial Risk Management (ACFI342) module. Research Interests: Includes banking crises, trade shocks, public guarantees, and mortgage market dynamics. Recent Publications: Highlights include studies on banking market structure and trade shocks (2023), municipal bond holdings' impact on mortgage lending (2024), and the cleansing effects of banking crises (2022).
Grants/Awards: No specific grants or awards mentioned. Labs/Teams: No dedicated lab information provided.
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