معرفی
Professor Khelifa Mazouz is a Professor of Finance at Cardiff Business School, Cardiff University. He joined Cardiff Business School in January 2014, following previous full-time academic appointments at Bradford School of Management, Aston Business School, and Portsmouth Business School.
Professor Mazouz holds a PhD in Finance from the University of Manchester Institute of Science and Technology, an MSc in International Banking and Finance from Salford University, and a BSc in Commerce from University Ferhat Abbas.
Professor Mazouz's research spans multiple critical areas in finance. His primary interests include Initial Public Offerings (IPOs), Labour Market Flexibility and Firm Performance, Stock Market Efficiency and Anomalies, Stock Market Volatility and Liquidity, and the Interactions between Derivatives and Cash Markets. His scholarly work examines how market structure, information asymmetry, and institutional factors influence financial markets and corporate decision-making processes, with a particular focus on market efficiency, asset pricing dynamics, and corporate finance mechanisms.
His extensive publication record demonstrates consistent scholarly productivity across top finance journals. Professor Mazouz has published in prestigious outlets such as Journal of Financial and Quantitative Analysis, Journal of Banking and Finance, Review of Quantitative Finance and Accounting, and Journal of Business Ethics. His research trajectory shows evolution from foundational work on market microstructure and IPOs to more recent investigations into sustainable finance, green bonds, and asymmetric volatility spillovers across asset classes.
Professor Mazouz serves on the editorial boards of several academic journals including British Accounting Review, Global Economics and Management Review, Journal of Islamic Accounting and Business Research, International Journal of Financial Studies, and Journal of Business and Financial Affairs, reflecting his standing in multiple finance sub-disciplines.
At Cardiff Business School, Professor Mazouz teaches Financial Derivatives (as module leader for MSc), Corporate Finance (for MSc), and International Corporate Finance (for undergraduate programs). He currently supervises PhD student Shijie Jin, continuing his commitment to developing future finance scholars through mentorship and guidance in research methodology and academic publication.
