Economic development, financial development, and income inequality nexus TB Kavya, S Shijin Borsa Istanbul Review 20 (1), 80-93, 2020 | 133 | 2020 |
A six-factor asset pricing model R Roy, S Shijin Borsa Istanbul Review 18 (3), 205-217, 2018 | 82 | 2018 |
Managerial discretion and agency cost in Indian market C Namitha, S Shijin Advances in accounting 35, 159-169, 2016 | 31 | 2016 |
Dissecting anomalies and dynamic human capital: The global evidence R Roy, S Shijin Borsa Istanbul Review 18 (1), 1-32, 2018 | 27 | 2018 |
The nexus of anomalies-stock returns-asset pricing models: The international evidence R Roy, S Shijin Borsa Istanbul Review 19 (1), 1-14, 2019 | 23 | 2019 |
Economic development, financial development, and income inequality nexus. Borsa Istanbul Review, 20 (1), 80–93 TB Kavya, S Shijin | 17 | 2020 |
Information asymmetry and insider trade profitability in India M Iqbal, S Santhakumar Journal of Indian Business Research 10 (1), 53-69, 2018 | 14 | 2018 |
The term structure of interest rates and macroeconomic factors: Evidence from Indian financial market KH Shareef, S Shijin Borsa Istanbul Review 17 (4), 249-256, 2017 | 14 | 2017 |
Dynamic risk‐return relation with human capital: a study on Indian markets S Shijin, AK Gopalaswamy, D Acharya International Journal of Emerging Markets 7 (2), 146-159, 2012 | 13 | 2012 |
Diffusion of crisis signals across the world: evidence from subprime crisis of 2008-2009 S Rajan, S Santhakumar International Journal of Emerging Markets 13 (2), 410-430, 2018 | 12 | 2018 |
The relationship between size, value, and market risk: Some evidence AG Kumar, S Bhattacharyya Investment Management and Financial Innovations 4 (2), 125-147, 2007 | 11 | 2007 |
Timeliness and persistence of conservative earnings in an emerging market P Afsheena, S Santhakumar Journal of Financial Reporting and Accounting 18 (3), 483-503, 2020 | 8 | 2020 |
A tripartite inquiry into financial liberalisation–volatility–information asymmetry nexus: Global panel approach R Roy, S Shijin IIMB Management Review 32 (1), 39-58, 2020 | 8 | 2020 |
Cascading effect of contagion in Indian stock market: Evidence from reachable stocks R Sruthi, S Shijin IIMB management review 29 (4), 235-244, 2017 | 8 | 2017 |
Expectations hypothesis and term structure of interest rates: An evidence from emerging market H Shareef, S Shijin Asia-Pacific Financial Markets 23, 137-152, 2016 | 7 | 2016 |
Ownership and control of widely and closely held firms in India B Kavya, S Shijin Vision 21 (4), 449-460, 2017 | 6 | 2017 |
Is human capital the sixth factor? Evidence from US data R Roy, S Santhakumar ACRN Journal of Finance and Risk Perspectives, 2019 | 4 | 2019 |
Time-varying global financial market inefficiency: an instance of pre-, during, and post-subprime crisis R Roy, S Santhakumar Decision 41, 449-488, 2014 | 3 | 2014 |
Saving, human wealth, and asset pricing nexus: the world evidence R Roy, S Santhakumar Economic Systems, 2021 | 2 | 2021 |
The nexus of asset pricing, volatility and the business cycle R Roy, S Shijin Journal of Economic Studies 48 (1), 79-101, 2020 | 2 | 2020 |