Loughborough University
Leicestershire, UK
LE11 3TU
+44 (0)1509 263171
Loughborough University

School of Business and Economics

School staff

Maximilian J B Hall

Maximilian J B Hall BA Econ (Nottingham), PhD Econ (Nottingham)

Professor of Banking and Financial Regulation
Programme Director for MSc International Banking and MSc Banking and Finance

Module Organiser:
ECC035 : Monetary Theory and Policy (Semester 1)
ECC050 : Comparative Banking (Semester 2)
ECP153 : Regulation of International Banking (Semester 2)
ECP253 : Comparative Banking (Semester 2)
ECP203 : International Banking & Financial Markets (Semester 2)

Research Interests:
‘Did the Market Signal Impending Problems at Northern Rock?  An Analysis of Four Financial Instruments’ (with P. Hamaleinen, B. Howcroft and A. Pop), (2010), European Financial Management (forthcoming).

''Productivity Changes and Risk Management in Indonesian Banking: A Malmquist Analysis'' (with M. Hadad, K. Kenjegalieva, W. Santoso and R.Simper), (2011), Applied Financial Economics, iFirst, February.

‘Banking Efficiency and Stock Market Performance:  An Analysis of Listed Indonesian Banks’ (with M Hadad, K Kenjegalieva, W Santoso and R Simper), (2010), Review of Quantitative Finance and Accounting (forthcoming).DOI: 10.1007/s11156-010-0192-1.

''Expectations and the Inertia of Inflation: The Case of Indonesia'' (with R. Wimanda and P. Turner), (2011), Journal of Policy Modeling, In press. DOI: 10.1016/j.polmod.2010.08.009.

‘Using the Artificial Neural Network to Assess Bank Credit Risk: A Case Study of Indonesia’ (with L. Moorena, D. Muljawan and Suprayogi), (2010), Applied Financial Economics (forthcoming). DOI: 10.1080/09603100903018760.

‘Should A Mandatory Subordinated Debt Policy Be Introduced In The United Kingdom? Evidence from the Issuance Activity of Banks and Building Societies’ (with P. Hamaleinen and B. Howcroft), (2010), Contemporary Economic Policy, Vol.28, No.2, pp. 240-263, April. 

'Bank Modelling Methodologies: A Comparative Non-parametric Analysis of Efficiency in the Japanese Banking Sector’ (with L. Drake and R. Simper), (2009), Journal of International Financial Markets, Institutions and Money, Vol. 19, No.1, pp.1-15, February.

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