Madhusudan Karmakar
VIDWAN ID: 56319

Dr Madhusudan Karmakar

Male Doctor of Philosophy
Professor | Finance and Accounting
Indian Institute of Management Lucknow
Uttar Pradesh
Expertise: Business, Finance
21 Publications
0 Projects
397 Scopus Citations
336 CrossRef
24 Years 9 Months Total Experience
Publications
21 Total
Articles
21
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Scopus Scopus
397 Citations
12 h-index
CrossRef CrossRef
336 Citations
10 h-index
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Personal Details

Doctor of Philosophy
N/A
Professor
Dec 2001 – Present
Indian Institute of Management Lucknow | Finance and Accounting
Social Sciences
Business, Finance

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Scholarly Publications

A trading strategy for the Indian stock market: Analysis and implications

Open Access
Journal Article
Vikalpa: The Journal for Decision Makers. Year: 2000. Volume: 25 , Issue: 4 , Pages: 27-38 .
Authors: Madhusudan Karmakar; Madhumita Chakraborty

Modeling conditional volatility of the indian stock markets

Journal Article
Vikalpa: The Journal for Decision Makers. Year: 2005. Volume: 30 , Issue: 3 , Pages: 21-37 .
Authors: Madhusudan Karmakar

Asymmetric volatility and risk-return relationship in the Indian stock market

Journal Article
South Asia Economic Journal. Year: 2007. Volume: 8 , Issue: 1 , Pages: 99-116 .
Authors: Madhusudan Karmakar

Price Discoveries and Volatility Spillovers in S&P CNX Nifty Future and its Underlying Index CNX Nifty

Journal Article
Vikalpa: The Journal for Decision Makers. Year: 2009. Volume: 34 , Issue: 2 , Pages: 41-56 .
Authors: Madhusudan Karmakar

Information transmission between small and large stocks in the National Stock Exchange in India: An empirical study

Journal Article
The Quarterly Review of Economics and Finance. Year: 2010. Volume: 50 , Issue: 1 , Pages: 110-120 .
Authors: Madhusudan Karmakar

Ecotourism and its impact on the regional economy - a study of North Bengal (India)

Journal Article
Year: 2011. Volume: 6 , Issue: 1 , Pages: 251-270 .

Estimation of tail-related risk measures in the Indian stock market: An extreme value approach

Journal Article
REVIEW OF FINANCIAL ECONOMICS. Year: 2013. Volume: 22 , Issue: 3 , Pages: 79-85 .
Authors: Madhusudan Karmakar

Managing extreme risk in some major stock markets: An extreme value approach

Journal Article
International Review of Economics & Finance. Year: 2014. Volume: 35 , Pages: 1-25 .
Authors: Madhusudan Karmakar; Girja K. Shukla
Showing 1 to 8 of 21 publications