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Godfrey Marozva
Godfrey Marozva
Professor of Finance and Investments, University of South Africa
Verified email at unisa.ac.za - Homepage
Title
Cited by
Cited by
Year
Liquidity and bank performance
G Marozva
International Business & Economics Research Journal (IBER) 14 (3), 453-562, 2015
1782015
Liquidity and stock returns: New evidence from Johannesburg Stock Exchange
G Marozva
The Journal of Developing Areas 53 (2), 79-90, 2019
332019
The nexus between foreign portfolio investment and financial market development: Evidence from Mauritius
PL Makoni, G Marozva
Academy of strategic management journal 17 (5), 1-14, 2018
212018
An empirical study of liquidity risk embedded in banks' asset liability mismatches
G Marozva
Published doctoral thesis, 2017
172017
COVID-19 and stock market liquidity: An analysis of emerging and developed markets
G Marozva, MR Magwedere
Scientific Annals of Economics and Business 68 (2), 129-144, 2021
162021
The effects of monetary policy on stock market returns and volatility: Evidence from South Africa
G Marozva
Academy of Accounting and Financial Studies Journal 24 (3), 1-11, 2020
112020
Foreign direct investment, infrastructure development and economic growth in African economies
G Marozva, PL Makoni
Acta Universitatis Danubius. Œconomica 14 (6), 2018
112018
Stock Market Liquidity and Monetary Policy
G Marozva
International Journal of Economics & Business Administration (IJEBA) 8 (2 …, 2020
102020
Africa stock markets cross-market linkages: A time-varying dynamic conditional correlations (DCC-GARCH) approach
G Marozva
Journal of Applied Business Research (JABR) 33 (2), 321-328, 2017
102017
The performance of socially responsible investment funds and exchange-traded funds: Evidence from Johannesburg Stock Exchange
G Marozva
Corporate Ownership and Control 11 (4), 143-152, 2014
102014
Liquidity risk and asset liability mismatches: evidence from South Africa
G Marozva, D Makina
Studies in Economics and Econometrics 44 (1), 73-112, 2020
82020
Examining the cointegrating relationship between financial intermediation and poverty in a selected panel of developing countries
MR Magwedere, J Chisasa, G Marozva
Journal of Economic and Financial Sciences 14 (1), 10, 2021
72021
Liquidity mismatch index and banks’ stock returns
G Marozva
International Journal of Economics & Business Administration (IJEBA) 8 (4 …, 2020
72020
The Nexus Between Bank Credit Risk and Liquidity: Does the Covid-19 Pandemic Matter? A Case of the Oligopolistic Banking Sector
MR Magwedere, G Marozva
Folia Oeconomica Stetinensia 22 (1), 152-171, 2022
62022
Macroeconomic variables, leverage, stock returns and stock return volatility.
G Marozva, MR Magwedere
Acta Universitatis Danubius. Œconomica 13 (4), 2017
62017
Acausal relationship between derivatives trading, capital market development and economic growth: evidence from South Africa
G Marozva
Corporate Ownership and Control 11 (2), 2014
62014
Asset liquidity and bank profitability in South Africa
G Marozva
Corporate Ownership and Control 11 (1), 745-753, 2013
62013
Economic Growth, Foreign Direct Investments and Official Development Assistance Nexus: Panel ARDL Approach
FC Wehncke, G Marozva, PL Makoni
Economies 11 (1), 4, 2022
42022
The nexus between bond liquidity, stock liquidity and foreign portfolio investment
G Marozva, PL Makoni
International Journal of Finance & Banking Studies (2147-4486) 10 (3), 92-103, 2021
42021
Executive compensation schemes: Accelerants of agency and corporate governance problems in South Africa
T Muzata, G Marozva
African Journal of Governance & Development 11 (1.2), 328-350, 2022
32022
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Articles 1–20