Dr. Husam has a Master by Research (MRes) in Economics and Finance and a Ph.D, from Brunel University, London. He worked previously in the UK include lectureships and the Programme director for Economics and Finance at LBIC/Brunel University and the University of Liverpool. He was awarded the “Special Recognition Award for Excellence in Teaching” in 2014, 2015 and 2016 at the LBIC/Brunel University.
Ph.D. Economics, Brunel University London, 2016.
Master by Research (MRes) in Finance and Economics, Brunel University London, 2009.
• Monetary Economics
• Islamic Banking and Finance
• Geopolitical risk and stock market
• Monetary Economics
• Islamic Banking and Finance
• Financial Development
• Geopolitical risk and stock market
• FinTech and Cryptocurrency
• Financial Market Integration
• Elsayed, A. H., & Helmi, M. H. (2021). Volatility transmission and spillover dynamics across financial markets: the role of geopolitical risk. Annals of Operations Research, 305(1), 1-22.
• Caporale, G.M., Çatık, A.N., Helmi, M.H., Ali, F.M. and Tajik, M., (2020). The bank lending channel in the Malaysian Islamic and conventional banking system. Global Finance Journal, 45, p.100478.
• Baldwin, K, AlHalboni, M & Helmi, M.H. (2019). A Structural Model of "Alpha" for the Capital Adequacy Ratios of Islamic Banks. Journal of International Financial Markets, Institutions and Money 60: 267-283.
• Caporale, G.M., Helmi, M.H., Çatık, A.N., Ali, F.M. and Akdeniz, C., (2018). Monetary policy rules in emerging countries: Is there an augmented nonlinear Taylor rule?. Economic Modelling, 72, pp.306-319.