Sajid Chaudhry

Sajid Chaudhry

The Department of Finance
Lecturer in Finance

Contact details

Sajid Chaudhry is a lecturer in Finance in the University of Birmingham. He holds a Phd in Banking and Finance from Maastricht University, the Netherlands. His research interests include micro and macroeconomics of banking with a focus on information asymmetry in banking markets and systemic risk, Financial market linkages and integration, Extreme Value Theory, Bank taxation and regulation, Liquidity risk and Common Currency Area.  

Sajid has demonstrated his research ability and has answered very timely questions that have high impact and public engagement. His research has been published in international peer reviewed journals such as Journal of International Money and Finance, Journal of International Financial Markets, Institution and Money and International Review of Financial Analysis. He welcomes enquiries regarding research collaboration and PhD supervision.

Qualifications

  • PhD in Banking and Finance, Maastricht University, The Netherlands (2013)

Teaching

  • Financial Modelling Techniques (MSc)
  • Advanced Finance (BSc)
  • Risk Analysis and Management (MSc)

Research

Micro and macroeconomics of banking with a focus on information asymmetry in banking markets and systemic risk, Financial market linkages and integration, Extreme Value Theory, Bank taxation and regulation, Liquidity risk and Common Currency Area.

Publications

Books: 

Chaudhry, S.M. and Mullineux, A. (2014). Introduction and Concluding Chapter. In: S Chaudhry, A Mullineux (eds.), Taxing Banks Fairly, Edward Elgar: Cheltanham, UK, Northampton, MA, USA. October 2014.

Chaudhry, S.M., Mullineux, A. and Agarwal, N. (2015). Balancing the regulation and taxation of banking. Edward Elgar: Cheltanham, UK, Northampton, MA, USA. August 2015.

Journal articles:

Chaudhry, S.M. and Kleimeier, S. (2015). Lead arranger reputation and the structure of loan syndicates, Journal of International Financial Markets, Institutions & Money, 38, 116-126.

Straetmans, S. and Chaudhry, S.M. (2015). Tail risk and systemic risk of U.S. and eurozone financial institutions in the wake of the global financial crisis, Journal of International Money & Finance, 58, 191-223.

Chaudhry, S.M., Mullineux, A. and Agarwal, N. (2015). Balancing the regulation and taxation of banking, International Review of Financial Analysis, 42, 38-52.

Kleimeier, S. and Chaudhry, S.M. (2015). Cultural differences and the structure of loan syndicates, Finance Research Letters, 15, 115-124.