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Books & Research Articles
Books:
1. |
Dynamics of Investor’s Behaviour by Lambert Academic Publishing, Germany (2016), ISBN 978-3-330-01236-3 |
2. |
Portfolio Selection Using Multi-Objective Optimization, Palgrave, UK (2017), ISBN 978-3-319-54415-1 |
Chapters in Books:
1. |
Arun, TM, Manzoor Ul Akram, Shaili Singh and Saurabh Agarwal, (2017), “Is Low Cost Strategy in Airlines Sustainable? – A Comparative Financial Ratio Analysis of Low Cost Airline Companies in India”, Contemporary Areas of Management and Finance” by Dr. Amit Kumar Singh, Galgotia Publishing Company, Delhi, pp. 19-46, ISBN 978-93-86184-46-7 |
2. |
Singh Y. P., Saurabh Agarwal and S. L. Harilal, (2009), “A Utility Approach to the Portfolio Selection Decision”, Forecasting Financial Markets in India, Dr. R P Pradhan, Allied Publishers (P) Ltd., pp. 12-21, ISBN 978-81-8424-426-7 |
3. |
Agarwal Aman, Saurabh Agarwal and Evgeny Dmitrievich Solojewntsev, (2009), " Financing Growth and Innovation in Global Dis-equilibrium through Venture Finance Model", International Conference on Innovations in Business Horizons organised by Department of Commerce, Karpagam University, 24th and 25th September, 2009, in book of abstracts edited by Dr. M. Krishnaveni |
Book Reviews Published:
1. |
Makkar, Urvashi and Babita Bhati, “Digitization, Innovation and Disruption: Keys to Achieving Global Competitiveness”, Finance India, Vol. XXXIII, No. 3, September 2019, pp. 771-772 |
2. |
Kumar Dhirendra, “Value Investing Perspectives”, Finance India, Vol. XXXIII, No. 2, June 2019, pp. 524-525 |
3. |
Cherif, Rede, Fuad Hasanov and Min Zhu, “Breaking the Oil Spell: The Gulf Falcon’s Path to Diversification”, Finance India, Vol. XXXIII, No. 1, March 2019, pp. 209-210 |
4. |
Bhankar, S.S., Sneha Rajput, Chanda Gulati, Rahul Pratap Singh Kaurav, “Strengthening Strategies, Shaping Policies and Empowering Personnel: Key to Organisational Competitiveness, Finance India, Vol. XXXII, No. 4, December 2018, pp. 1396-1397 |
5. |
Ghosh, Atish R. and Mahvash S. Qureshi, “From Great Depression to Great Recession: The Elusive Quest for International Policy Cooperation”, Finance India, Vol. XXXII, No. 3, September 2018, pp. 984-986 |
6. |
Schwartz, Moises J. and Shinji Takagi, “Background Papers for the IMF and the Crises in Greece, Ireland, and Portugal”, Finance India, Vol. XXXII, No. 2, June 2018, pp. 709-712 |
7. |
Hilton, Ronald W. and David E. Platt, “Managerial Accounting: Creating Value in Dynamic Business Environment”, Finance India, Vol. XXXII, No. 1, March 2018, pp. 283-285 |
8. |
Cherif, Rede, Faud Hasanov and Min Zhu, “Breaking the Oil Spell: The Gulf Falcon’s Path to Diversification”, Finance India, Vol. XXXII, No. 1, March 2018, pp. 285-286 |
9. |
Singh, Kanhaiya, “Management Accounting: Concepts and Strategic Costing Decisions”, Finance India, Vol. XXXI, No. 3, September 2017, pp. 1003-1006 |
10. |
Brian, Tomlinson, The Reality of AID 2016, Finance India, Vol. XXXI, No. 2, June 2017, pp. 640-644 |
11. |
Bogle, John C, “Bogle on Mutual Funds: New Perspective for the Intelligent Investor”, Finance India, Vol. XXX, No. 3, September 2016, pp. 1038-1039 |
12. |
Raju, Yerram B. and Narsimharao Venuturpalle, “Risk Management: The New Accelerator”, Finance India, Vol. XXIX, No. 3, September 2015, pp. 998-1001 |
13. |
Vickers, Damon, “The Day after the Dollar Crashes: A Survival Guide For the Rise of the New World Order”, Finance India, Vol. XXVIII, No. 3, September 2014, pp. 1050-1054 |
14. |
Penfold, Brent, “The Universal Principles of Successful Trading”, Finance India, Vol. XXVIII, No. 2, June 2014, pp. 629-632 |
15. |
Songporn, Hansanti, Sardar M.N. Islam and Perter Sheehan, “International Finance in Emerging Markets: Issues, Welfare Economic Analysis and Policy Implications”, Finance India, Vol. XXVII, No. 4, December 2013, pp. 1366-1367 |
16. |
Read, Colin, “The Portfolio Theorists: Von Neumann, Savage, Arrow and Markowitz”, Finance India, Vol. XXVII, No. 4, September 2013, pp. 1025-1026 |
17. |
Mauldin, John and Jonathan Tepper, “Endgame: The End of the Best Supercycle and How it Changes Everything”, Finance India, Vol. XXVI, NO. 4, December 2012, pp. 1400-1402 |
18. |
Funabashi, Haruo, “Timeless Ventures: 32 Japanese Companies that imbibed 8 Principles of Longevity”, Finance India, Vol. XXVI, No. 3, September 2012, pp. 1009-1010 |
19. |
Lien, Kathy, “The Little Book of Currency Trading: How to make Big Profits in the World of Forex”, Finance India, Vol. XXVI, No. 2, June 2012, pp. 628-629 |
20. |
Sreedharan, E. and Bharat Wakhlu, “Restoring Values: Keys to Integrity, Ethical Behaviour and Good Governance”, Finance India, Vol. XXVI, No. 1, March 2012, pp. 299-300 |
21. |
Darst, David M., “The Art of Asset Allocation: Principles and Investment Strategies for Any Market”, Finance India, Vol. XXV, No. 4, December 2011, pp. 1430-1432 |
22. |
Narayan, Prem, Emerging Trends in Supply Chain Management – Frameworks, Models and Applications, Finance India, Vol. XXV, No. 3, September 2011, pp. 1002-1003 |
23. |
Kamekish, “Unlearn Before U Learn: Seven Critical Factors to Get Out of the Rut”, Finance India, Vol. XXV, No. 2, June 2011, pp. 620-621 |
24. |
Report of the Non-Governmental International Panel on Climate Change (NIPCC)”, Finance India, Vol. XXV, No. 1, March 2011, pp. 256 -258 |
25. |
Ki – Moon, Ban, “World Investment Report 2009: Transnational Corporations, Agricultural Production and Development”, Finance India, Vol. XXIV, No. 4, December 2010, pp. 1442-1443 |
26. |
Calvo, Guillermo A., Rudi Dornbusch and Mourich Obstfeld, “Money, Capital Mobility and Trade”, Finance India, Vol. XXIV, No. 3, September 2010, pp. 1027-1029 |
27. |
See, Chak-Mun, “India’s Strategic Interests in Southeast Asia and Singapore”, Finance India, Vol. XXIV, No. 2, June 2010, pp. 581-583 |
28. |
Lorentsen, Lorents, Rob Visser, Helen Mountford and Jan Bakkes, “OECD Environment Outlook to 2030”, Finance India, Vol. XXIV, No. 1, March 2010, pp. 195-196 |
29. |
Huchet, Jean-Francois and Joel Rust, “Globalisation and Opening Markets in Developing Countries and Impact on National Firms and Public Governance: The Case of India”, Finance India, Vol. XXIII, No. 4, December 2009, pp. 1418-1419 |
30. |
Mizen, Paul, “Monetary History, Exchange Rates and Financial Markets: Essays in Honour of Charles Goodhart Volume II”, Finance India, Vol. XXIII, No. 3, September 2009, pp. 1030-1032 |
31. |
Jorgenson, Dale W. And Kun-Young Yun, “Investment (Volume III) – Lifting the Burden: Tax Reforms, The Cost of Capital and U.S. Economic Growth”, Finance India, Vol. XXIII, No. 3, September 2009, pp. 1019-1021 |
32. |
ADB Report, “Emerging Asian Regionalism: A Partnership for Shared Prosperity”, Finance India, Vol. XXIII, No. 2, June 2009, pp. 660-661 |
33. |
“Towards a More Advanced Knowledge Economy: Volume II”, Finance India, Vol. XXIII, No. 1, March 2009, pp. 245-246 |
34. |
Kolodko, Grzegorz W., “From Shock to Therapy: The Political Economy of Post-Socialist Transformation”, Finance India, Vol. XXIII, No. 1, March 2009, pp. 237-239 |
35. |
Landstrom, Hans, “Handbook of Research on Venture Capital”, Finance India, Vol. XXII, No. 4, December 2008, pp. 1440-1442 |
36. |
Shibata, Tsutomu and Hirotaka Takeuchi, “Japan Moving Towards a More Advanced Knowledge Economy: Volume I”, Finance India, Vol. XXII, No. 3, September 2008, pp. 1034-1036 |
37. |
Rai, Vinay and William L. Simon, “Think India”, Finance India, Vol. XXII, No. 2, June 2008, pp. 621-622 |
38. |
Business: A Comparative Analysis of the Trade Policies of the European Union, the United States, Canada and Japan”, Finance India, Vol. XXII, No. 2, June 2008, pp. 621-622 |
39. |
Douglas, McGregor, “Human Side of Enterprise”, Finance India, Vol. XXII, No. 1, March 2008, pp. 257-258 |
40. |
Teunissen, Jan Joost and Age Akkerman, “Global Imbalances and Developing Countries”, Finance India, Vol. XXI, No. 4, December 2007, pp. 1496-1498 |
41. |
Vyuptakesh Sharan, “Fundamentals of Financial Management”, Finance India, Vol. XXI, No. 3, September 2007, pp. 1065 |
42. |
Teunissen, Jan Joost and Age Akkerman, “HIPC Debt Relief: Myths and Reality”, Finance India, Vol. XXI, No. 2, June 2007, pp. 637 |
43. |
Murphy, Craig N., “The United Nations Development Programme: A better way?”, Finance India, Vol. XXI, No. 1, March 2007, pp. 279 |
44. |
Shapo, Marshall S., “Compensation for victims of Terrorism”, Finance India, Vol. XX, No. 4, December 2006, pp. 1507-1508 |
45. |
United Nations: World Investment Report 2005, Finance India, Vol. XX, No. 3, September 2006, pp. 1036-1037 |
46. |
Basu, Kaushik, “India’s emerging Economy: Performance and Prospects in the 1990s and beyond”, Finance India, Vol. XX, No. 2, June 2006, pp. 649-651 |
47. |
Owen, David and David O. Robinson, “Russia Rebounds ”, Finance India, Vol. XIX, No. 4, December 2005, pp. 1477-1479 |
Research Articles Published:
1. |
Agarwal, Saurabh and Megha Agarwal, (2019), “Prediction of Bankruptcy in selected Steel Sector Companies in India using Financial Ratios”, Effulgence, ISSN (O) 2456-6675/ISSN (P) 0972-8058, Vol. 17, No. 1, pp. 16-27 Available at http://effulgence.rdias.ac.in/user/article_pdf/article_17_vol1.2.pdf. Indexed and listed in J-Gate, Indian Citation Index, UGC and Crossref |
2. |
Agarwal, Manju, Aman Agarwal, Yamini Agarwal and Saurabh Agarwal, (2018), “Enterprising Entrepreneurship & Start-Ups : Models for Growth and Financing of Micro, Small and Medium Enterprises (MSMEs) in Times of Recession”, The Quarterly Journal of Finance - Finance India (ISSN 0970-3772), Vol. 32, No. 4, December, 2018, pp. 1125-1208 Available at http://financeindia.org/data/2018/FI324/FI-324-Art01.pdf. FI is SCOPUS Indexed Journal placed at 3rd out of 21,000+ Journals Indexed in SJIF Journal Rank by Scientific Journal Impact Factor (SJIF) with SJIF Impact Factor Value for 2018 as 6.778. The International Scientific Indexing (ISI) Indexation & ISI Impact Factor of 1.518 (2017-18). ABDC Rating C |
3. |
Agarwal, Saurabh, (2015), “Investor's Demographics and Portfolio Objectives: An Empirical Study using Factor Analysis”, Journal of Commerce & Business Studies (ISSN 2322-0767), Vol. 2, No. 1, pp. 36-46. Available at SSRN: http://ssrn.com/abstract=2470027 or http://dx.doi.org/10.2139/ssrn.2470027 |
4. |
Agarwal, Saurabh, (2014-2015), “Investment Decisions: Are Demographic Variables relevant?”, Journal of Business Studies (ISSN 0975-0150), Vol. 7, pp. 96-107 |
5. |
Agarwal, Saurabh, (2014), “Reforming Agriculture: Policy Issues and Perspectives”, Journal of the Andaman Science Association (ISSN 0970-4183), Vol. 19, No. 1, pp. 1-4. Available at SSRN: http://ssrn.com/abstract=2789323 |
6. |
Agarwal, Saurabh, (2014), “Portfolio Selection Theories: Review, Synthesis and Critique”, Asian Journal of Management (ISSN 0976-495X), Vol. 5, No. 1, pp. 1-7 |
7. |
Agarwal, Saurabh, (2014), “Indian Capital Market: Issues and Challenges Ahead”, Presidency Journal of Management Thought & Research (ISSN 2229-5275), Vol. 4, No. 1, pp. 56-63 |
8. |
Aman Agarwal, Saurabh Agarwal and Evgeny Dmitrievich Solojentsev, (2013), “Venture Finance Model for HR Capacity Building in Global Dis-equilibrium”, The Quarterly Journal of Finance - Finance India (ISSN 0970-3772), Vol. 27, No. 2, pp. 381-408, Available at SSRN: http://ssrn.com/abstract=2790044 |
9. |
Agarwal, Saurabh, (2012), “Equity Investing Patterns in India: A Signal for Small and Medium Businesses” Entrepreneurial Practice Review, Ted Rogers School of Management at Ryerson University, Canada, Vol. 2, No. 2, pp. 36-42, Available at SSRN: http://ssrn.com/abstract=2790038 |
10. |
Agarwal, Saurabh, (2011), “Dynamics of Investor's Behaviour: A Survey-Based Study on Indian Securities Market”, International Journal of Monetary Economics and Finance (Print ISSN: 1752-0479 Online ISSN: 1752-0487), Inderscience Publishers, Switzerland, Vol. 4, No. 4, pp. 410-431. Available at SSRN: http://ssrn.com/abstract=2789628 |
11. |
Agarwal, Aman and Saurabh Agarwal, (2011), “Financing Growth through Mergers, Acquisitions and Joint Ventures”, The Journal of Venture Capital & Financial Services, Vol. 5, No. 1, pp. 5-18. Available at SSRN:http://ssrn.com/abstract=2812029 |
12. |
Vij, Madhu and Saurabh Agarwal, (2010), “Advances in Theory on Portfolio Choice”, Journal of Managerial Finance and Research (ISSN 0976-7096), Vol. 6, No. 2, pp. 26-36 |
13. |
Agarwal, Saurabh, Megha Agarwal and Pankaj Kumar Jain, (2009), “Globalization, Crisis and Financial Engineering in India”, Indian Journal of Economics and Business (ISSN 0972-5784), Vol. 8, No. 2, pp. 279-297 |
14. |
Agarwal Saurabh and Neeraj Kumar, (2009), “Portfolios for BSE 500 using CAPM”, Journal of Accounting and Finance (ISSN 0970-9029), Vol. 23, No. 2, April-September 2009, pp. 66-77 |
15. |
Singh Y. P. and Saurabh Agarwal, (2009), “A Conceptual Framework for Effective Investment Management”, Apeejay Journal of Management and Technology (ISSN 2347-5005), Vol. 4, No. 2, July 2009, pp. 94-107 |
16. |
Singh Y. P., Saurabh Agarwal and S. L. Harilal, (2008), “Portfolio Creation using Markowitz’s Portfolio Selection Model involving Equities, Commodities and Bonds in Indian Securities Market”, Euro-Mediterranean Economics and Finance Review (ISSN 1967-502X), France, Vol. 3, No. 3, pp. 212-236, Available at SSRN: http://papers.ssrn.com/sol3/papers.cfm?abstract_id=2786006 |
17. |
Agarwal Manju and Saurabh Agarwal, (2007), “Economics of Public Utilities in Market Driven Economic Systems”, The Quarterly Journal of Finance - Finance India (ISSN 0970-3772), Vol. 21, No. 3, September, 2007, pp. 853-877 |
18. |
Agarwal Aman, Jack H. W. Penm and Saurabh Agarwal, (2007), “Common Currency for India and the Asean Region: An Empirical Investigation”, Welingkar Research Journal (ISSN 0974 – 1119), Vol. V, No. 1, March 2007, pp. 37-48 |
19. |
Agarwal Aman, Yamini Agarwal and Saurabh Agarwal, (2006), “The Changing Structure of World Investment, Trade, Capital flows and its Impact on Global Integration and Regional Cooperation”, The Quarterly Journal of Finance - Finance India (ISSN 0970-3772), Vol. 20, No. 2, June 2006, pp. 471-490 |
Research Monographs:
1. |
A Goal Programming Portfolio Selection Model – Ph.D. Dissertation, 2012, pp. 255, Abstract published in Finance India, Vol. XXVII, No. 2, June 2013, pp 507-520, Available at SSRN: http://ssrn.com/abstract=2790030 |
2. |
Dynamics of Investors’s Behaviour: An Analytical Study in Indian Securities Market – M.Phil. Dissertation, 2007, pp. 138 |
Copyrights IIF College of Commerce and Management Studies
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Updated : 17th January, 2020
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