Vanita Tripathi

University of Delhi India - Delhi School of Economics - Department of Commerce

Senior Lecturer ( Finance)

Department of Commerce

Delhi University

Delhi, 110007

India

http://people@du.ac.in~vtripathi/

SCHOLARLY PAPERS

45

DOWNLOADS
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Top 3,357

in Total Papers Downloads

9,176

CITATIONS
Rank 27,057

SSRN RANKINGS

Top 27,057

in Total Papers Citations

9

Scholarly Papers (45)

1.

Investment Strategies in Indian Stock Market: A Survey

Number of pages: 21 Posted: 20 May 2008
Vanita Tripathi
University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 1,618 (6,619)

Abstract:

Investment strategies, Size Effect, Value effect, P/E effect

2.

Foreign Direct Investment and Macroeconomic Factors: Evidence From the Indian Economy

Asia-Pacific Journal of Management Research and Innovation, 2015, Vol. 11 No. 01, pp. 46-56
Number of pages: 12 Posted: 19 Nov 2012 Last Revised: 01 May 2015
Vanita Tripathi, Ritika Seth and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce, Hansraj College, University of Delhi and University of Delhi - Department of Commerce
Downloads 768 (13,590)

Abstract:

Foreign Direct Investment, Macro-economic factors, Unit root stationarity, Granger causality test, Johansen’s Co-integration test, vector auto regression, Impulse Response analysis

3.

Size Effect in Indian Stock Market: Some Empirical Evidence

Journal of Business Perspective, Vol. 9, No. 4, pp. 27-42, December 2005
Number of pages: 38 Posted: 24 May 2008
Sanjay Sehgal and Vanita Tripathi
University of Delhi and University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 726 (23,361)
Citation 3

Abstract:

Size effect, Market capitalization, Seasonality effect, Business cycle effect

4.
Downloads 612 ( 34,249)
Citation 2

Company Fundamentals and Equity Returns in India

Number of pages: 38 Posted: 20 May 2008
Vanita Tripathi
University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 328 (73,614)
Citation 2

Abstract:

Size Effect, Value effect, P/E effect, Leverage effect, CAPM, Asset pricing

Company Fundamentals and Equity Returns in India

21st Australasian Finance and Banking Conference 2008 Paper
Number of pages: 40 Posted: 24 Aug 2008
Vanita Tripathi
University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 284 (86,579)
Citation 2

Abstract:

Size Effect, Value effect, P/E effect, Leverage effect, CAPM, Asset pricing

5.

FDI in Multi-Brand Retailing – A Survey of Indian Consumers

Madras University Journal of Business and Finnace, Vol. 01 No. 02, July 2013, pp. 34-45
Number of pages: 25 Posted: 10 Feb 2013 Last Revised: 02 May 2015
Vanita Tripathi, Varun Bhandari and Ritika Seth
University of Delhi India - Delhi School of Economics - Department of Commerce, University of Delhi - Department of Commerce and Hansraj College, University of Delhi
Downloads 426 (36,026)

Abstract:

foreign direct investment (FDI), multi-brand retailing, factor analysis, foreign retail investors, reliability test, Likert scale, structural equation modeling

6.

Estimating the Accuracy of Value-at-Risk (VAR) in Measuring Risk in Equity Investment in India

Number of pages: 31 Posted: 20 May 2008
Vanita Tripathi and Shalini Aggarwal
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 399 (55,117)

Abstract:

VaR, Normal distribution,Equity Investment

7.

Sources of Size Effect: Evidence from Indian Stock Market

The Icfai Journal of Applied Finance, Vol. 12 No. 3, pp. 18-28, March 2006
Number of pages: 20 Posted: 20 May 2008
Sanjay Sehgal and Vanita Tripathi
University of Delhi and University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 325 (68,512)
Citation 2

Abstract:

Size Effect, Size premium, Capital Asset Pricing Model, Operating profitability, Financial risk, Liquidity risk

8.

Sectoral Analysis of Small and Large Firms and its Implications for Size Premium in Indian Stock Market

INDIAN STOCK MARKET: AN EMPIRICAL STUDY, O.P. Gupta et.al., eds., pp. 202-213, Anmol Publications, New Delhi India, 2007
Number of pages: 20 Posted: 20 May 2008
Vanita Tripathi
University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 207 (115,766)

Abstract:

Size Effect, Size premium

9.

Effectiveness of the Skewness and Kurtosis Adjusted Black-Scholes Model in Pricing Nifty Call Options

Number of pages: 24 Posted: 07 Nov 2011
Vanita Tripathi and Sheetal Gupta
University of Delhi India - Delhi School of Economics - Department of Commerce and affiliation not provided to SSRN
Downloads 196 (100,710)

Abstract:

Volatility smile, Black-Scholes model, Skewness and Kurtosis adjusted Black-Scholes model of Corrado and Su (1996), predictive accuracy, Call options, Nifty Index options

10.

Integration of Indian Stock Market with World Stock Markets

Asian Journal of Business and Accounting, Vol. 3, No. 1, pp. 117-134, 2010
Number of pages: 18 Posted: 25 Jan 2011
Vanita Tripathi and Shruti Sethi
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Shri Ram College of Commerce
Downloads 167 (125,325)

Abstract:

Stock Market Interlinkages, Financial Integration, Market Efficiency, Portfolio Diversification, Investment Decision, Engle Granger Co integration Test

11.

Overreaction Effect in Indian Stock Market

Asian Journal of Business and Accounting, Vols. 1-2, pp. 93-114, 2009
Number of pages: 26 Posted: 25 Jan 2011
Vanita Tripathi and Shalini Gupta
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi
Downloads 145 (129,474)
Citation 2

Abstract:

Contrarian investment strategy, losers, Overreaction effect, winners, zero-investment portfolio

12.

Relationship between Institutional Neglect and Stock Returns in India

Business Analyst, new series, Vol.1,No.1, pp. 85-92, April-September 2006
Number of pages: 11 Posted: 20 May 2008
Vanita Tripathi
University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 123 (183,480)

Abstract:

Institutional neglect, size effect

Dividend Opportunity Index: An Opportunity for Small Investors

XI Capital Markets Conference, 21-22 December 2012, Indian Institute of Capital Markets (UTIICM)
Number of pages: 15 Posted: 01 May 2013
Vanita Tripathi and Khushboo Aggarwal
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi
Downloads 87 (243,060)

Abstract:

Dividend yield, Indian Stock Market, Dividend opportunity index, Value stocks, Dogs of the Dow strategy, Sharpe ratio, Treynor ratio, Jensen ratio, Performance Evaluation

Dividend Opportunity Index: An Opportunity for Small Investors

in Indian Capital Market – An Empirical Study by Gupta et al (ed), 2013 IUP Publications, Hyderabad. ISBN 9788131427965. pp 76-86.,
Number of pages: 16 Posted: 11 Nov 2014
Vanita Tripathi and Khushboo Aggarwal
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi
Downloads 34 (385,723)

Abstract:

Dividend yield, Indian stock Market, Dividend opportunity index, value stocks, Dogs of the dow strategy, Sharpe ratio, Treynor ratio, Jensen ratio, Performance Evaluation.

14.

Interest Rate Sensitivity of Banking Stock Returns in India

International Journal of Financial Management (ISSN:2229-5690) Vol. 2, No. 4, Dec. 2012, pg. 10-20
Number of pages: 11 Posted: 09 Sep 2013
Vanita Tripathi and Renu Ghosh
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Rajdhani College
Downloads 113 (114,736)

Abstract:

Bank stock returns, interest rate sensitivity, market risk, GARCH, Bankex, Sensex

15.

On Learning Styles, Academic Performance and Innovative Teaching Practices: Empirical Evidence from Post-Graduate Students at Department of Commerce, University of Delhi

Number of pages: 23 Posted: 20 Sep 2012
Vanita Tripathi and Seep Sethi
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 97 (204,354)

Abstract:

Learning Cycle, Learning Styles, Academic Performance, Innovative Teaching Practices, Chi square test

Do Ethical Funds Underperform Conventional Funds? - Empirical Evidence from India

International Journal of Business Ethics in Developing Economies, Vol. 04 No. 02, pp. 10-19, December 2015
Number of pages: 10 Posted: 16 Nov 2015
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 64 (291,592)

Abstract:

Corporate Social Responsibility, Ethical Investing, Fama’s Decomposition Measure, Mutual Funds, Socially Responsible Investing

Do Ethical Funds Underperform Conventional Funds? - Empirical Evidence from India

International Journal of Business Ethics in Developing Economies, ISSN 2278-3172, Vol 4 issue 2, Dec 2015, pp 10-19.
Number of pages: 10 Posted: 23 Aug 2016
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 13 (496,613)

Abstract:

Corporate Social Responsibility, Ethical Investing, Fama’s Decomposition Measure, Mutual Funds, Socially Responsible Investing

17.

On Dynamic Relationship Among Oil Prices, Exchange Rate and Stock Prices in India

Number of pages: 28 Posted: 26 Jan 2012 Last Revised: 12 May 2015
Vanita Tripathi and Namita Narang
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 70 (229,368)

Abstract:

18.

Performance of Socially Responsible Portfolios - Do Economic Conditions Matter?

Journal of Commerce & Accounting Research, Vol. 04 No. 01, pp. 14-30, 2015
Number of pages: 17 Posted: 04 Jun 2015
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 69 (147,841)

Abstract:

Socially Responsible Investing, ESG Index, GREENEX Index, Fama’s Decomposition Measure, CAPM, Fama-French Three Factor Model

19.

Green is Good in Indian Stock Market

Colombo Business Journal, Vol 3, No.2 December 2012, Pg 27-45.
Number of pages: 20 Posted: 09 Sep 2013
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 64 (201,688)

Abstract:

Socially Responsible Investing, Green Investing, Indian Stock Market, GREENEX, Sharpe Ratio, Treynor Ratio, Performance Evaluation

20.

Socially Responsible Investing - An Emerging Concept in Investment Management

FIIB Business Review, Vol. 03 No. 04, pp. 16-30, October - December 2014
Number of pages: 15 Posted: 02 May 2015
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 57 (121,301)

Abstract:

Corporate social responsibility, Corporate governance, ESG Index, GREENEX, Socially responsible investing, Green investing

21.

Inter-Linkages, Co-Integration and Global Financial Crisis: India's Experience and Preparedness

Number of pages: 22 Posted: 24 Nov 2012
Vanita Tripathi, Ritika Seth and Mohit Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce, Hansraj College, University of Delhi and affiliation not provided to SSRN
Downloads 45 (305,182)

Abstract:

global financial crisis, Inter linkages, Granger Causality, Johansen Co integration test, Impulse Response analysis, US subprime crisis, European debt crisis

22.

Inter Linkages of Indian Stock Market with Advanced Emerging Markets

Asia-Pacific Finance and Accounting Review, Vol. I, No. 1, pp. 34-51, October-December 2012
Number of pages: 29 Posted: 26 Oct 2012
Vanita Tripathi and Shruti Sethi
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Shri Ram College of Commerce
Downloads 42 (302,597)

Abstract:

Stock Market Inter linkages, Financial Integration, Market Efficiency, Portfolio Diversification, Investment Decision, Johansen Co integration test

23.

Performance Evaluation of Ethical and Conventional Funds - A Study of Taurus Mutual Fund in India

Financial Markets and Economic Development, Bloomsbury Publishing India, ISBN 97-8-93-848-98-946, Forthcoming
Number of pages: 19 Posted: 02 May 2015 Last Revised: 03 Jun 2015
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 34 (183,480)

Abstract:

Corporate Social Responsibility, Ethical Investing, Fama’s Decomposition Measure, Mutual Funds, Socially Responsible Investing

24.

Does Financial Performance Improve Post Cross Border Merger and Acquisitions?: A Detailed Study of Indian Acquirer Firms' Financial Performance Across Target Economy's Development Status and Financial Crisis

Research Journal of Social Science & Management ISSN 2251-1571 Vol 4 No. 9, Jan 2015, pp 324-342. Publisher TIJRP, Singapore
Number of pages: 18 Posted: 21 May 2015 Last Revised: 26 May 2015
Vanita Tripathi and Ashu Lamba
University of Delhi India - Delhi School of Economics - Department of Commerce and Vivekananda Institute of Professional Studies
Downloads 32 (218,567)

Abstract:

Cross border Mergers & Acquisitions, Financial Performance, India, Financial Crisis

25.

Does Mode of Payment Matter in Mergers and Acquisitions in Determining Announcement Returns and Operating Performance?: A Study of Indian Companies Acquiring Foreign Targets

Journal of Global Economics, Management and Business Research, Vol 2 No. 1 pp 35-48, Jan 2015. International Knowledge Press.
Number of pages: 1 Posted: 21 May 2015
Vanita Tripathi and Ashu Lamba
University of Delhi India - Delhi School of Economics - Department of Commerce and Vivekananda Institute of Professional Studies
Downloads 30 (274,445)

Abstract:

Cross border mergers & acquisitions, event study, operating performance, mode of payment

26.

Long Run Value Creation from Cross Border Mergers and Acquisitions: Evidence from Indian Acquirer Companies

The International Journal of Business & Management, Vol. 3, Issue 3, March 2015, pp 161-166
Number of pages: 5 Posted: 21 May 2015
Ashu Lamba and Vanita Tripathi
Vivekananda Institute of Professional Studies and University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 28 (287,974)

Abstract:

Event Study, Mergers, Acquisitions, Cross Border M&As, Value Creation

27.

Prior Return Effect in Indian Stock Market: An Intra-Day Analysis

International Journal of Financial Management, Vol 5 (1) Jan 2015, pp 33-56.
Number of pages: 24 Posted: 21 May 2015
Vanita Tripathi and Shalini Aggarwal
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 23 (358,974)

Abstract:

Prior Return Effect, Contrarian Strategy, Overreaction Effect, Overreaction Hypothesis, Indian Stock Market, Intraday Analysis, High Frequency Data

28.

Market Efficiency in G-20 Countries: The Paradox of Financial Crisis

Annals of Financial Economics ( Print- ISSN: 2010-4952, online ISSN: 2010-4960) Vol. 8 No. 1 ( June 2013) pg 1-27
Number of pages: 27 Posted: 07 Nov 2014
Viana do Castelo Polytechnic Institute (IPVC), University of Delhi - School of Economics - Commerce Department and University of Delhi India - Delhi School of Economics - Department of Commerce
Downloads 23 (362,424)

Abstract:

Market efficiency; Market efficiency, G-20, financial crises, during crisis,Samuelson dictum, heteroskedastic, homoscedastic

29.

Sectoral Efficiency of the Indian Stock Market and the Impact of Global Financial Crisis

Journal of Commerce & Accounting Research Vol. 4 Issue 1 Jan 2015, pp 46-62
Number of pages: 13 Posted: 21 May 2015 Last Revised: 27 Aug 2015
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 17 (318,794)

Abstract:

Market efficiency, Sectoral efficiency, Weak form market efficiency, Indian stock market, Variance ratio test

30.

Prior Return Effect in Indian Stock Market: Some Empirical Evidence

Madras University Journal of Business and Finance, ISSN 2320-5857, Vol 2, No. 2, July 2014, pp 1-22, Publisher _ University of Madras, India.
Number of pages: 22 Posted: 23 Jul 2015
Vanita Tripathi and Shalini Aggarwal
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 14 (420,465)

Abstract:

Prior Return effect, Contrarian, Stock markets, Stock prices, Under-reaction, Investors

31.

Do Macroeconomic Variables Affect Stock Returns in BRICS Markets? An ARDL Approach

Journal of Commerce & Accounting Research, Volume 4, Issue 2, April 2015
Number of pages: 15 Posted: 23 Aug 2015
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 13 (179,073)

Abstract:

Macroeconomic Variables, Stock Returns, BRICS, Auto Regressive Distributed Lag (ARDL), Panel Analysis

32.

Relationship between Inflation and Stock Returns – Evidence from BRICS Markets Using Panel Co Integration Test

International Journal of Accounting and Financial Reporting, Vol 4, No. 2, Dec 2014, pp 647-658
Number of pages: 12 Posted: 12 May 2015
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 12 (270,151)

Abstract:

BRICS, Stock Index, Inflation, Unit root test, Pedroni Panel Co integration Test, Johansen Co integration Test

33.

Short Run Causal Relationship between Inflation and Stock Returns - An Empirical Study of BRICS Markets

Asian Journal of Management Applications and Research, Vol.05, No.01
Number of pages: 13 Posted: 23 Aug 2015
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 11 (263,916)

Abstract:

BRICS, Stock Returns, Inflation, Unit root test, Regression, Granger Causality

34.

Linkages between Real & Financial Sector: Empirical Evidence from India Using ARDL Approach

Financial Markets and Economic Development, First Edition 2015, Bloomsbury Publishing India Pvt. Ltd. ISBN: 978 - 93 - 84898 - 94 - 6
Number of pages: 11 Posted: 26 Aug 2015
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 8 (392,830)

Abstract:

Linkage between Financial & Real Sector, Granger Causality, Johansen Cointegration, Auto Regressive Distributed Lag (ARDL), Supply Leading Hypothesis.

35.

Is Cross Border M&As a Sustainable Business Strategy for Emerging Markets? Empirical Evidence from Indian Economy

Indian Capital Market- An Empirical Study book by Gupta et al ( Ed) IUP Publications, Hyderabad, India, 2013, pp 87-98. ISBN - 9788131427965.
Number of pages: 12 Posted: 23 May 2015
Vanita Tripathi and Ashu Lamba
University of Delhi India - Delhi School of Economics - Department of Commerce and Vivekananda Institute of Professional Studies
Downloads 5 (477,095)

Abstract:

MNEs, Cross Border M&As, Sustainable Business, Sustainability, Business Strategy

36.

A Cross-Country Analysis of Pricing Efficiency of Exchange Traded Funds

The IUP Journal of Applied Finance, Vol. 22, No. 3, July 2016, pp. 41-63
Posted: 02 May 2017
Vanita Tripathi and Swati Gupta
University of Delhi India - Delhi School of Economics - Department of Commerce and affiliation not provided to SSRN

Abstract:

37.

Performance Evaluation of Socially Responsible Stocks Portfolios across Sectors during Different Economic Conditions

Journal of Management Research, Vol. 16, No. 02, pp. 87-105, June 2016
Number of pages: 20 Posted: 27 Mar 2017
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 0 (451,453)

Abstract:

Socially Responsible Investing, ESG Index, Fama's Decomposition Measure, Market Model, Fama-French Three Factor Model

38.

Performance of Socially Responsible Stocks Portfolios - The Impact of Global Financial Crisis

Journal of Economics and Business Research ISSN2068-3537 XXII (1), 2016, pp. 42-68
Number of pages: 27 Posted: 26 Sep 2016
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 0 (321,679)

Abstract:

Socially Responsible Investing, ESG Index, GREENEX Index, Dummy Variable, Market Model, Fama-French Three Factor Model

39.

Estimating Stock Return Volatility in Indian and Chinese Stock Market

International Journal of Banking, Risk and Insurance, Vol 4, Issue 2, Sept 2016, pp 37-49
Number of pages: 13 Posted: 23 Aug 2016
Vanita Tripathi and Pankaj Chaudhary
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Shri Ram College of Commerce
Downloads 0 (255,908)

Abstract:

Stock Return Volatility, EGARCH, TARCH, GARCH Family Models, Asymmetric Volatility

40.

Long Run Relationship between Aggregate Stock Prices and Macroeconomic Factors in BRICS Stock Markets

Emerging Trends in Management and Public Policy, 2016, Regal Publications, 1-28.
Number of pages: 29 Posted: 01 Apr 2016
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 0 (305,182)

Abstract:

BRICS Aggregate Stock Prices, Macroeconomic Factors, Long Run Granger Causality, Johansen’s Cointegration, Vector Error Correction Mechanism (VECM)

41.

Relationship between Macroeconomic Factors and Aggregate Stock Returns in BRICS Stock Markets – A Panel Data Analysis

New Age Business Strategies in Emerging Global Markets, First Impression: 2015, Excel India Publishers, Page: 104-123.
Number of pages: 20 Posted: 01 Apr 2016
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 0 (268,040)

Abstract:

Aggregate Stock Returns, BRICS Stock Markets, Macroeconomic Factors, Panel Auto Regressive Distributed Lag (ARDL) Model, Panel Causality, Panel Cointegration

42.

Efficiency, Determinants and Performance of Service Sector Stocks – Evidence from India

Conference Proceedings of 3rd International Conference on “Booming Service Sector: From Achievements to Growth Prospects”, Pages: 23-36, ISBN: 978-93-5254-977-1,
Number of pages: 18 Posted: 01 Apr 2016
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 0 (392,830)

Abstract:

Indian Service Sector Stocks, Weak Form Efficiency, Service Stock Return Determinants, Stock Performance Evaluation, Multiple Regression Analysis, Unit Root & Variance Ratio Tests

43.

Sources of Systematic Risks in Indian Banking Stock Returns - Some Empirical Evidences

Business Analyst, Vol. 36 No. 2, October 2015 - March 2016
Number of pages: 16 Posted: 01 Apr 2016
Vanita Tripathi and Arnav Kumar
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Delhi School of Economics - Department of Commerce
Downloads 0 (410,792)

Abstract:

Systematic Risks, Banking Stock Returns, Short and Long Run Causality, Cointegration

44.

Catalyzing Social Responsibility in Companies by Indian Stock Market

FIIB Business Review, Vol. 04, No. 01, pp. 3-13, 2015
Number of pages: 11 Posted: 16 Nov 2015
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce
Downloads 0 (276,620)

Abstract:

Socially Responsible Investing, ESG Index, Semi-Log Regression, Structural Break, Crisis, Risk-Adjusted Measures

45.

Socially Responsible Stocks: A Boon for Investors in India

Journal of Advances in Management Research, Vol. 12, No. 02, pp. 209-225
Posted: 05 Aug 2015
Vanita Tripathi and Varun Bhandari
University of Delhi India - Delhi School of Economics - Department of Commerce and University of Delhi - Department of Commerce

Abstract:

Performance Evaluation, Socially Responsible Investing, Corporate Social Responsibility, ESG Index, Fama's Decomposition Measure, GREENEX, Green Investing