Dr. S. Shijin
About
Research Area
Shijin S has a Ph. D. from the Indian Institute of Technology Madras in the area of finance and has over 20 years of teaching experience. He teaches Financial Modelling and Valuation, Forensic Accounting, Data Analysis for Decision Making, and Financial Reporting. His research interests include Asset Pricing, Term Structure of Interest Rates, Agency Theory, Financial Contagion, Information Asymmetry, and Wealth Inequality. He has several research publications in reputed National and International Journals and has supervised 11 Ph.D. candidates. He has received the Best Teacher award for the academic year 2014-2015, 2015 -2016,2017-2018, and 2018-19 from Pondicherry University
Accounting and Finance
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years
Teaching Experience
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Research (Guided & On-roll)
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Publications
Notable & Recent Publications
Sruthi, R., Shijin, S. Investigating liquidity constraints as a channel of contagion: a regime switching approach. Financ Innov 6, 24 (2020). https://doi.org/10.1186/s40854-020-00185-2 Impact Factor 6.9
T.B. Kavya, Santhakumar Shijin, Economic development, financial development, and income inequality nexus, Borsa Istanbul Review,Volume 20, Issue 1,2020,Pages 80-93, Impact Factor 6.3
Rahul Roy, Santhakumar Shijin, The saving, human wealth and asset pricing nexus: Evidence from around the world, Economic Systems, Volume 46, Issue 2,2022, Impact Factor 2.8
P Afsheena, Shijin Santhakumar Timeliness and persistence of conservative earnings in an emerging market, Journal of Financial Reporting and Accounting Volume 18, Issue 3 2020 Pages 483-503 Impact Factor 3.3
Rahul Roy, Santhakumar Shijin, A tripartite inquiry into financial liberalisation–volatility–information asymmetry nexus: Global panel approach, IIMB Management Review,Volume 32, Issue 1,2020,Pages 39-58, Impact Factor 1.7
News & Events
Monday, 10 July, 2023
Friday, 16 April, 2021
Monday, 23 November, 2020
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