Miss Dilruba Karim
Senior Lecturer in Economics and Finance
Marie Jahoda 242
- Email: dilruba.karim@brunel.ac.uk
- Tel: +44 (0)1895 265955
- Accountancy and Finance
Chan, KK., Davis, EP. and Karim, D. (2023) ''. Journal of Banking Regulation, 0 (ahead of print). pp. 1 - 33. ISSN: 1745-6452
Davis, EP. and Karim, D. (2021) 'Looking Ahead: Early Warning Systems', in D'Apice, V. and Ferri, G. (eds.) A Modern Guide to Financial Shocks. London : Edward Elgar. pp. 314 - 348. ISBN 10: 1-78990-452-8. ISBN 13: 978-1-78990-451-2.
Davis, EP., Karim, D. and Noel, D. (2020) ''. Journal of International Financial Markets, Institutions and Money, 65 (Mar 2020). pp. 1 - 22. ISSN: 1042-4431
Karim, D., Barrell, R. and Macchiarelli, C. (2018) ''. European Journal of Finance, 26 (10). pp. 978 - 993. ISSN: 1351-847X
Davis, EP. and Karim, D. (2018) ''. European Financial Management, 25 (3). pp. 462 - 488. ISSN: 1354-7798
Karim, D., ventouri, A. and barrell, R. (2016) ''. Journal of Financial Stability, 33 (December 2017). pp. 261 - 272. ISSN: 1572-3089
Karim, D., Liadze, I., Barrell, R. and Davis, EP. (2013) ''. Journal of Financial Stability, 9 (4). pp. 673 - 681. ISSN: 1572-3089
Davis, EP., Karim, D. and Liadze, I. (2011) ''. Review of World Economics, 147 (4). pp. 693 - 716. ISSN: 1610-2878
Davis, EP. and Karim, D. (2011) 'Policy efficacy in the crisis, exit strategies and the return to growth', in Giudice, G., Kuenzel, R. and Springbett, T. (eds.) Uk Econom - The crisis in perspective: Essays on the drivers of recent UK economic performance and lessons for the future. Routledge. ISBN 10: 9279197061. ISBN 13: 9789279197062.
Barrell, R., Davis, EP., Karim, D. and Liadze, I. (2011) ''. National Institute Economic Review, 216 (1). pp. R53 - R58. ISSN: 0027-9501
Barrell, R., Davis, EP., Fic, T. and Karim, D. (2011) 'Is there a link from bank size to risk taking?'. Place of publication: National Institute of Economic and Social Research. Available at: .
Barrell, R., Davis, EP., Fic, T. and Karim, D. (2011) 'Tier 2 capital and bank behaviour'. Place of publication: National Institute of Economic and Social Research. Available at: .
Barrell, R., Davis, EP., Karim, D. and Liadze, I. (2010) 'Was the sub-prime crisis unique? An analysis of the factors that help predict banking crises in OECD countries'. Place of publication: National Institute of Economic and Social Research. Available at: .
Barrell, R., Davis, EP., Karim, D. and Liadze, I. (2010) ''. Journal of Banking & Finance, 34 (9). pp. 2255 - 2264. ISSN: 0378-4266
Barrell, R., Davis, EP., Karim, D. and Liadze, I. (2010) 'The effects of banking crises on potential output in OECD countries'. Place of publication: National Institute of Economic and Social Research. Available at: .
Barrell, R., Holland, D. and Karim, D. (2010) ''. National Institute Economic Review, 213 (1). pp. 39 - 44. ISSN: 0027-9501
Barrell, R., Davis, EP., Karim, D. and Liadze, I. (2010) 'Evaluating off balance sheet activity in crisis determination models'. Place of publication: National Institute of Economic and Social Research. Available at: .
Barrell, R., Davis, EP., Karim, D. and Liadze, I. (2010) 'Calibrating macroprudential policy'. Place of publication: National Institute of Economic and Social Research. Available at: .
Barrell, R., Davis, EP., Karim, D. and Liadze, I. (2010) 'The impact of global imbalances: Does the current account balance help to predict banking crises in OECD countries?'. Place of publication: National Institute of Economic and Social Research. Available at: .
Davis, EP. and Karim, D. (2010) ''. National Institute Economic Review, 211 (1). pp. 67 - 80. ISSN: 0027-9501
Davis, EP. and Karim, D. (2008) 'Could early warning models have predicted the sub-prime crisis?'. National Institute Economic Review, 206. ISSN: 0027-9501
Davis, EP. and Karim, D. (2008) 'Research in and policy for financial stability - what have we learnt?', in Mayes, D. and Pringle, R. (eds.) New Frontiers in the Regulation and Oversight of the Financial System. Central Banking Publications.
Davis, EP. and Karim, D. (2008) ''. Journal of Financial Stability, 4 (2). pp. 89 - 120. ISSN: 1572-3089