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Dr Satish Sharma

Associate Professor

Department: Newcastle Business School

Satish has attained his doctoral qualification in the area of “Consumer Credit Risk Modelling”. His research interest comprises of financial risk management, banking regulations, investments and micro-finance.

Satish has also delivered the North East Access to Finance (NEA2F) £50K project investigating the demand/supply side of Small and Medium-Sized Enterprise (SME) finance with an initial focus on the relationship between Banks and SMEs. 

Qualifications

  • Financial Management PhD June 30 2009
  • Marketing MBA June 01 1997
  • Fellow (FHEA) Higher Education Academy (HEA) 2005

Key Publications

  • Please visit the Pure Research Information Portal for further information
  • Taming the blockchain beast? Regulatory implications for the cryptocurrency Market, Shanaev, S., Sharma, S., Ghimire, B., Shuraeva, A. 9 Aug 2019, In: Research in International Business and Finance
  • How do students conceptualise a “real world” learning environment, Sharma, S., Charity, I., Robson, A., Lillystone, S. 1 Nov 2018, In: International Journal of Management Education
  • Evaluating Banks Performance Using Key Financial Indicators – A Quantitative Modelling of Russian Banks, Shebalkov, M., Sharma, S., Yukhanaev, A. 2016, In: The Journal of Developing Areas
  • Exploring Corporate Governance practices in Sri Lankan Banking Institutions, Ekanayake, N., Sorour, K., Sharma, S. 25 Nov 2016
  • Testing the Weak-Form Efficiency of Agriculture’s Capital Markets, Ghimire, B., Annussek, K., Harvey, J., Sharma, S. 2016, In: Economics and Business Review
  • Banks, non-bank companies and stock exchange: do we know the relationship?, Ghimire, B., Gautam, R., Karki, D., Sharma, S. Oct 2015, In: Economics and Business Review
  • Role of Institutions in Economic Transition: Case of Russia, Yukhanaev, A., Sharma, S., Borodin, A. Apr 2014, Global Business Transcendence: International Perspectives Across Developed and Emerging Economies, Basingstoke, Macmillan
  • Subnational Determinants of Foreign Direct Investments in the Russian Federation, Yukhanaev, A., Sharma, S., Nevidimova, A. 2014, In: Journal of Eastern European and Central Asian Research
  • Uncertainty, Yukhanaev, A., Sharma, S. Jul 2014, International Management, Oxford, Wiley-Blackwell
  • Application of Neural Network and Simulation Modeling to Evaluate Russian Banks’ Performance, Sharma, S., Shebalkov, M. 1 Sep 2013, In: Journal of Applied Finance and Banking

PGR Supervision

  • Aurelius Rapozo Start: 18/10/2019
  • José Luis Ruiz Del Portal Tranche Start: 01/10/2019
  • Scott Ellis The Role of Systemic Risk, Regulation and Efficiency within the Banking Competition and Financial Stability Relationship Start: 24/03/2014
  • Jalal Mrabti Start: 01/10/2018


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