K N Badhani
VIDWAN ID: 124824

Prof K N Badhani

Male Doctor of Philosophy
Professor | Finance and Accounting
Indian Institute of Management Kashipur
Uttarakhand
Expertise: Business, Finance
9 Publications
0 Projects
125 Scopus Citations
114 CrossRef
14 Years 8 Months Total Experience
Publications
9 Total
Articles
9
Activity

No publication activity to display.

Scopus Scopus
125 Citations
5 h-index
CrossRef CrossRef
114 Citations
5 h-index
Google Scholar Google Scholar

Loading Scholar statistics...

Professional Recognition

No Data Found

There is currently nothing to display here.

Community & Membership

No Data Found

There is currently nothing to display here.

No Data Found

There is currently nothing to display here.

Personal Details

Doctor of Philosophy
N/A
Professor
Jan 2012 – Present
Indian Institute of Management Kashipur | Finance and Accounting
Social Sciences
Business, Finance

Related Profiles

Scholarly Work

No Data Found

There is currently nothing to display here.

No Data Found

There is currently nothing to display here.

No Data Found

There is currently nothing to display here.

Scholarly Publications

Do Indian firms engage in classification shifting to report inflated core earnings?

Journal Article
Managerial Finance. Year: 2021. Volume: 47 , Issue: 11 , Pages: 1533-1552 .
Authors: Manish Bansal; Ashish Kumar; K. N. Badhani

Herding behavior in the commodity markets of the Asia-Pacific region

Journal Article
Finance Research Letters. Year: 2020. Volume: 41 , Pages: 101813 .
Authors: Ashish Kumar; K.N. Badhani; Elie Bouri; Tareq Saeed

Tail risk, beta anomaly, and demand for lottery: what explains cross-sectional variations in equity returns?

Journal Article
Empirical Economics. Year: 2023. Volume: 65 , Issue: 2 , Pages: 775-804 .
Authors: Asgar Ali; K. N. Badhani

Do institutional investors perform better in emerging markets?

Journal Article
International Review of Economics & Finance. Year: 2023. Volume: 86 , Pages: 1041-1056 .
Authors: K.N. Badhani; Ashish Kumar; Xuan Vinh Vo; Mangesh Tayde

Downside risk matters once the lottery effect is controlled: explaining risk–return relationship in the Indian equity market

Journal Article
Journal of Asset Management. Year: 2023. Volume: 24 , Issue: 1 , Pages: 27-43 .
Authors: Asgar Ali; K. N. Badhani

Does the low-risk anomaly exist in the Indian equity market? A test using alternative risk measures

Journal Article
Journal of Economic Studies. Year: 2022. Volume: 49 , Issue: 8 , Pages: 1422-1452 .
Authors: Asgar Ali; K.N. Badhani; Ashish Kumar

Higher moments anomaly: evidence from the Indian equity market

Journal Article
Managerial Finance. Year: 2021. Volume: 47 , Issue: 12 , Pages: 1693-1713 .
Authors: Asgar Ali; K.N. Badhani

Beta-Anomaly: Evidence from the Indian Equity Market

Journal Article
Asia-Pacific Financial Markets. Year: 2021. Volume: 28 , Issue: 1 , Pages: 55-78 .
Authors: Asgar Ali; K. N. Badhani
Showing 1 to 8 of 9 publications