Mr. Satish Kumar | Economics, Econometrics and Finance | Best Researcher Award
Himachal Pradesh University Shimla | India
Author Profile
Early Academic Pursuits š
Mr. Satish Kumar's journey in academics began with a strong foundation in finance and commerce. His dedication to studies was evident from his early days, achieving 86% in his Plus Two and 72% in his 10th-grade exams, both from the Himachal Pradesh Board of School Education. His pursuit of higher education led him to Himachal Pradesh University, where he completed his Bachelor of Commerce with a commendable 69%. He continued his academic excellence by securing 80% in his Master of Commerce from Panjab University Chandigarh in 2021.
Professional Endeavors š¢
With a clear focus on leveraging his academic background, Mr. Satish Kumar aims to fully utilize his skills in finance and management. His objective reflects his passion for taking on challenging opportunities, where he can contribute significantly to the success of an organization. His understanding of complex financial systems and market behaviors, coupled with his analytical skills, positions him as a valuable asset in the field of finance.
Contributions and Research Focus š
Mr. Kumar's research delves into the intricate workings of stock markets, particularly the BRICS nations. His publication, "Mapping Risk-Return Linkages and Volatility Spillover in BRICS Stock Markets through the Lens of Linear and Non-Linear GARCH Models," is a testament to his analytical abilities. This study highlights the volatility patterns and risk-return relationships within emerging markets, using sophisticated GARCH models to provide valuable insights into financial dynamics.
Accolades and Recognition š
While Mr. Satish Kumar's career is still budding, his academic achievements speak volumes about his dedication and potential. The successful completion of his research and its subsequent publication in a recognized journal of Risk and Financial Management marks the beginning of what promises to be a successful academic and professional career in finance.
Impact and Influence š
Through his research on BRICS stock markets, Mr. Kumar has contributed to the global understanding of financial volatility and risk management. His work is not only beneficial for academic circles but also for financial analysts and investors seeking to comprehend the complexities of international markets. His focus on risk-return linkages provides practical insights for managing investments in volatile environments.
Legacy and Future Contributions š
As Mr. Satish Kumar continues his professional journey, his passion for research and dedication to finance are likely to leave a lasting impact on both the academic and financial sectors. With a focus on stock markets and risk management, his future contributions will further refine the tools and strategies used by professionals to navigate the ever-evolving financial landscape.
Publications
š Mapping RiskāReturn Linkages and Volatility Spillover in BRICS Stock Markets through the Lens of Linear and Non-Linear GARCH Models
Authors: Raj Kumar Singh, Yashvardhan Singh, Satish Kumar, Ajay Kumar, Waleed S AlruwailiĀ
Journal: Journal of Risk and Financial Management
Year: 2024