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Mahmoud Wahab

Mahmoud Wahab headshot

Professor of Finance

Economics, Finance, and Insurance

Barney School of Business
860.768.5119 Auerbach Hall 412D
Education

PhD in Finance, The George Washington University

BSc in Economics, Cairo University


Mahmoud Wahab is a professor of finance, teaching courses such as Corporate Finance and International Finance and Investments. His work has been published in Journal of International Money and Finance, Journal of Portfolio Management, Journal of Futures Markets, The Financial Review, Applied Economics, and Global Finance Journal. He serves as Adhoc Reviewer for several mainstream finance journals. He has been with University of Hartford since 1990.

Wahab's research interests include:

  • Securties markets
  • Derivatives
  • International finance and investments

"An Examination of Co-movements of India's Stock and Bond Markets" (with Bharat Kolluri and Susan Wahab), Journal of Asian Economics, Vol. 41, 2015, pp. 39-56.

Comovement of U.S. and Asian Equity Markets: Evidence from Asymmetric and Time Varying Coefficients (with Susan Machuga and Bharat Kolluri), Review of Pacific Basin Financial Markets and Policies, Vol. 17, No. 4 (2014) (44 pages).

Asymmetric Effects of U.S. Stock Returns on European Equities, International Review of Economics and Finance, 2012, 21(4), pp.156-172.

Performance and Asymmetric Co-movements of Asia-Pacific Equity Markets and U.S. Equities: Recent Evidence, (with Susan Machuga), International Journal of Finance, Vol. 23, No 1, 2011.