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If the name is not there, means it is not connected with a GND -ID?

GND: 141375760


Click on a term to reduce result list Information symbol The result list below will be reduced to the selected search terms. The terms are generated from the titles, abstracts and STW thesaurus of publications by the respective author.

asset backed securitiesrisk managementfixed incomebond marketanalysis valuationfestverzinsliches wertpapierbond marketscredit riskportfolio selectionselected bibliographybibliography referencesportfolio managementderivat wertpapier yield curvemoorad choudhryfinancial crisisincome securitiesstructured creditreferences chapterasset liability management
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Years of publications: 2001 - 2024

The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata

Moorad Choudhry


Prof. Dr.

B: 1966
Biblio: BTRM Ltd., Brighton, UK ; Recognise Bank, UK
Place of Activity: Surrey
Moorad Choudhry was formerly Head of Business Treasury, Global Banking and Markets at Royal Bank of Scotland. (Source: DBPedia)

Profession

  • Economist
  • Affiliations

  • Loughborough Building Society
  • Wandle Housing Association
  • Nubank (São Paulo)
  • Habib Bank AG Zurich (London)
  • London Metropolitan University. Department of Economics
  • Brunel University. Department of Mathematics
  • Royal Bank of Scotland
  • Europe Arab Bank (London)
  • KBC Financial Products (London)
  • External links

  • Gemeinsame Normdatei (GND) im Katalog der Deutschen Nationalbibliothek
  • Open Researcher and Contributor ID (ORCID)
  • Wikipedia (English)
  • NACO Authority File
  • Virtual International Authority File (VIAF)
  • Wikidata
  • International Standard Name Identifier (ISNI)

  • ORCID logo ORCID

    Publishing years

    2
      2024
    1
      2023
    1
      2020
    4
      2019
    3
      2018
    1
      2016
    2
      2014
    5
      2013
    4
      2012
    6
      2011
    16
      2010
    6
      2009
    14
      2008
    2
      2007
    16
      2006
    9
      2005
    16
      2004
    5
      2003
    3
      2002
    4
      2001

    Series

    1. The Frank J. Fabozzi series (6)
    2. Wiley finance series (5)
    3. Wiley finance (2)
    4. Fixed income markets library (2)
    5. Wiley Finance (2)
    6. SpringerLink / Bücher (2)
    7. Professional perspectives on banking and finance (1)
    8. Quantitative Finance Ser (1)
    9. Elsevier finance (1)
    10. Finance and Capital Markets Series (1)
    11. Finance and capital markets (1)
    12. The Moorad Choudhry finance series (1)
    13. The Wiley Finance Ser (1)
    14. Bloomberg Financial (1)
    15. Wiley Finance series (1)
    16. Securities Institute Ser (1)
    17. The Chartered Institute for Securities & Investment (1)
    18. The Wiley finance series (1)
    19. Journal of risk finance : the convergence of financial products and insurance (1)
    20. Discussion papers / Adam Smith Business School, University of Glasgow (1)
    21. Wiley Finance Ser. (1)
    22. [Professional finance series] (1)