Gazi Arif

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Lecturer

Organisations, Economy and Society

Switchboard: +44 (0)20 7911 5000
35 Marylebone Road
London
GB
NW1 5LS
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About me

Gazi Arif is a distinguished British academic professional with an exceptional international background spanning the United States and the United Kingdom. His academic journey, enriched by experiences at prestigious American and British universities, has cultivated a deep expertise in quantitative research, economics, and finance. With a diverse career encompassing roles in renowned US and British investment banks, esteemed universities, central banks, and the UK public sector, Gazi brings a unique, multifaceted perspective to his work. His passion for cutting-edge research is evident in his focus on DSGE RBC models incorporating corruption and Monetary policy as interest rates, financial risk and investment management, corporate governance, international strategic management, and data science.

Gazi's skill set is a fusion of quantitative finance and econometric analysis, complemented by advanced proficiency in Python programming, artificial intelligence, machine learning, and natural language processing. This interdisciplinary approach allows him to tackle complex economic and financial challenges with innovative solutions.

His academic background has made Gazi a sought-after expert in dissertation supervision, project leadership, consulting, and advising. As a dynamic professional, he excels in managing multiple projects while maintaining a positive, can-do attitude that inspires those around him. Gazi's unique blend of expertise in economics, investment analysis, and risk management, coupled with his proficiency in AI and data science, positions him as a valuable asset in both academic and industry settings. His commitment to delivering impactful results and driving innovation continuously pushes the boundaries of professional growth in economics, quantitative finance, and data-driven decision-making With his adaptability, international perspective, and interdisciplinary approach. His work continues to shape the future of economic research and financial practice, making him a true leader in his field.

Teaching

My teaching and supervision engagement including:

1. Management Decision Making (Undergraduate); 2. Strategic Perspective (Undergraduate); 3. Sustainability in Practice Project (Postgraduate); 4. IBM Project Supervision (Postgraduate).

Research

Research Articles Under Review:

"Borrowing Constraints and Fiscal Policy Measures in Dynamic General Equilibrium Model"Under review for Journal of Financial Economics"Monetary Policy with Upper Bound Constraints"Under review for Journal of Finance and Quantitative Analysis"Monetary Policy with Lower Bound Constraints"Under review for Journal of Financial Economics"Government and Debt Constraints in DSGE Paradigm"Under review for Journal of Banking and Finance"Risk Management and Fiscal Stimulus"Under review for Journal of Risk and Insurance

Book in Editing:"Constraints in Interplay between Fiscal and Monetary Policy" by Gazi ArifBook Chapter Contribution:"Constraints in Bank Interest Rate in Dynamic Stochastic General Equilibrium Models", Lessons from Fiscal Policy, 2021Journal 

Articles Reviewer: British Journal of Healthcare Management; Journal of Banking and Finance and Journal of Applied Corporate Finance