
معرفی
Professor Gareth Campbell is a faculty member in the Department of Finance at Queen's University Belfast's Queen's Business School. He holds the academic rank of Professor and currently serves as the Head of Department of Finance and Programme Director for the BSc Finance and BSc Financial Risk Management programmes. His research focuses on long-run patterns in asset pricing, corporate finance, financial history, and economic history, with particular attention to regional stock exchanges and financial crises. He teaches mathematics for finance at the undergraduate level.
Education: PhD (Queen's University Belfast). His research interests include asset pricing bubbles, financial crises, regional stock exchanges, financial history, and economic history. He has contributed to numerous peer-reviewed articles on historical financial markets, corporate governance in Victorian Britain, and cross-border market integration.
Recent articles explore topics such as London-UK provincial stock markets integration (2020), Victorian shareholder dynamics (2017), and banking instability in Britain (2016). His work highlights themes like market volatility, historical financial systems, and institutional evolution. No scientific awards are explicitly listed, but his contributions to understanding financial history and corporate structures are notable. He oversees academic programs and maintains active research in historical financial analysis.


