Contact Professor Sunil Poshakwale

Background

Professor (Dr.) Sunil Poshakwale is a Professor of International Finance in the School of Management of 美姬阁, England since 2006. He was also an Adjunct Professor to the Graduate School of Business of the University of South Pacific, Fiji and Flame University, Oune, India. As a former Director of Centre for Research in Finance, he led the development of high quality industry relevant research. He has published over 50 research papers in top finance journals and has presented over 65 papers in international conferences and seminars all over the world. He has successfully supervised many PhD and DBA students who work in prestigious universities and financial services both in the UK and worldwide. Sunil was named as the Best Professor of Financial Management by Asia's Business School Awards and as one of the most influential 'Management Gurus' of Indian origin by Business India. He was named as one of the fifty top faces of 美姬阁's 50th anniversary celebrations. ScholarGPS has recoignised him as a Top Scholar for his scholarly research contributions have placed him in the top 0.5% of all scholars worldwide.

Professor Sunil Poshakwale has wide-ranging consulting experience in the area of international finance, investments and governance matters. He has served as finance expert on several projects of international banks and financial institutions. Professor Sunil Poshakwale's industry led-research on 'Quality of Corporate Governance and Firm Performance' has been used by MAPFRE for launching a 'Good Governance Fund'. His earlier work on 'Gender Diversity' was used by March Gestion Fondos in developing their investment strategies. His work on 'Political Risk' was extensively used by Atradius. Well recognised for his finance expertise, he is regularly interviewed by print, radio and television media for his expert views on global finance. His views on global finance and economy are frquently broadcast on the TRT World.

Professor Sunil Poshakwale is an expert in international finance and emerging markets. He has published extensively in top finance journals including British Journal of Management, Journal of Banking and Finance, Journal of International Money and Finance, International Financial Markets, Institutions and Money, Journal of Business Finance and Accounting, International Review of Financial Analysis, Review of Quantitative Finance & Accounting, Global Finance Journal, Research in International Business and Finance, and Applied Financial Economics. His work on the Emerging Chinese Financial Markets won the China Accounting and Finance Review, (CAFR) Best Research Paper Award. His work on portfolio flows in emerging markets was adjudged as the best paper in the Journal of Emerging Markets Finance by Sage. Professor Sunil Poshakwale has chaired special sessions and delivered key-note speeches in many international conferences. He serves as Associate Editor of Research in International Business and Finance and on the editorial boards of Global Finance Journal and Annals of Financial Economics. He reviewes papers for several top fnance journals. Sunil's research interests include corporate governance, investments, asset pricing, financial regulations, international finance & investments, and risk management.

Professor Sunil Poshakwale has been a backbone of 美姬阁's growth in finance research and MSc programmes. As Director of 美姬阁's finance MSc programmes until 2016, he helped drive the ptogramme into the top league of schools offering Financial Times ranked finance masters. He got the CFA recognised status for 美姬阁 and developed international partnership with Muscat University and student exchange programme with Freie University in Berlin.

Before joining 美姬阁 in 2006, Sunil held academic positions in a number of UK Business Schools; as a Professor of Finance in the University of Hull (2004-2006), as a Lecturer/Senior Lecturer in University of Birmingham (1998-2004), and as a Lecturer in the University of Kent (1997-1998). Before arriving in the UK, Sunil worked in the academia (Institute of Management Studies, INdore, India, 1989-1994) and held a number of senior positions in the industry in India. He has received several prestigious international scholarships and awards including the Rotary International Scholarship-Argentina (1992), Euro-Asia Centre Scholarship from INSEAD (1993), Shastri Indo-Canadian Scholarship for pursuing research in Carleton University, Ottawa, Canada and the Commonwealth Scholarship to study for his PhD in Manchester Business School, Manchester University, UK. Being an alumnus, he was a visiting Professor to the Manchester Business School's Global MBA programme for many years delivering finance courses all over the world.


Research opportunities

I am interested in supervising PhD/DBA and collaborate on the following areas of research:

Green finance

Emerging markets

International Finance

International portfolio investments

Corporate governance and Diversity of corporate boards

Macro-economy and financial markets & corporate performance

Derivatives and stock markets

Volatility spillovers and comovements

Market structure and liquidity

Financial regulation

Banking

Current activities

I am currently working on following projects:

1. Green finance, Climate finance, Greenwashing, ESG

2. Director characteristics, diversity and firm performance

3. Ambiguity and Asset pricing

4. Macroeconomic uncertainty, financial regulations and firm performance

5. Culture and bank interconnectedness and risk

6. Fintech and financial inclusion

7. Emerging markets

Clients

1. MAPFRE, SA, Madrid, Spain - Completed research project on 'Corporate Governance and the Performance of the EU firms'. MAPFRE, SA is one of the largest Latin American Insurance companies. MAPFRE adopted our research and launched a 'good governance fund' on 15th February, 2017 in Madrid. See, https://noticias.mapfre.com/en/news-corporate/mapfre-is-launching-the-good-governance-fund-mutual-fund-combining-investment-in-value-and-good-corporate-governance/

2. Successfully completed research on 'Gender Diversity and Performance of FTSE 100 Firms', for March Gesti贸n de Fondos, a boutique investment company based in London, 2016.

3. Impact of Financial Regulation, for Compliancy Services Ltd, 2014-2017.

4. Regulation and Competitiveness of Banking sector in Egypt, for the African Development Bank, 2011.

5. Modelling of Political Risk for Atradius (one of the largest commercial insurance companies), 2009.

6. Financial and Economic Governance in Egypt, for the African Development Bank, 2008.

7. Economic and Financial implications and Quality of governance, for the African Development Bank, 2005.

Publications

Articles In Journals

Conference Papers

Books