معرفی
Ian Garrett is a Professor in the Department of Accounting & Finance at the University of Manchester's Alliance Manchester Business School. His research focuses on asset pricing, dividend policy, futures markets, and the behavior of stock returns.
- Volatility and capital market dynamics
- Corporate social responsibility and governance
- Commodity market liquidity
His work contributes to UN Sustainable Development Goals related to economic prosperity and financial systems. Recent publications analyze volatility modeling, regime-switching effects, and CSR impacts on corporate reputation. Collaborations span international institutions, with a focus on empirical finance and econometric methods.
Professor Garrett supervises postgraduate research and contributes to the Advanced Finance Research Seminar II. His network includes experts in corporate finance, asset pricing, and market risk. Research outputs include peer-reviewed articles in leading journals like the Journal of Futures Markets and Economic Modelling.


