معرفی
Dr. Adnan Gazi is a Lecturer in Finance at the University of Liverpool Management School. His research focuses on theoretical and empirical asset pricing, with specialization in financial derivatives, market mispricing, return predictability, and investments. He holds a PhD and MSc in Finance from the University of Manchester.
Educations:
- PhD in Finance, University of Manchester
- MSc in Financial Engineering, University of Manchester
Research Interests: Asset Pricing, Financial Derivatives, Market Mispricing, and Investments. His work bridges empirical analysis and theoretical models to understand market dynamics and derivative valuation challenges.
Teaching: Module Co-ordinator for Asset Pricing Theory (ULMR803) and Econometrics for Finance 1 (ACFI225).
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