Prachi Jain | Finance | Best Researcher Award

Ms. Prachi Jain | Finance | Best Researcher Award

Delhi Technological University, India

Prachi Jain is a finance researcher specializing in ESG, corporate performance, sustainability, and financial markets. She holds advanced training in finance and international business and is pursuing doctoral research focused on ESG-driven value creation. As a research scholar and educator, she teaches finance-related courses, contributes to curriculum development, mentors students, and engages in quality assurance activities. Her research appears in high-impact international journals, and she has received national-level academic distinction for excellence in commerce and research aptitude.

Citation Metrics (Google Scholar)

10
8
5
2
0

Citations
8

h-index
2

Citations

h-index

 

Featured Publications

Shaizy Khan | Finance | Research Excellence Award

Ms. Shaizy Khan | Finance | Research Excellence Award

Amity University | India

Ms. Shaizy Khan is an early-career academic and researcher in finance and accounting with a strong focus on sustainability-oriented financial research. She holds a doctoral degree in finance, complemented by postgraduate training in finance and marketing and an engineering background that supports her analytical orientation. Her academic experience includes teaching core finance courses at undergraduate and postgraduate levels, where she has contributed to developing conceptual and applied understanding of corporate finance and financial decision-making. Professionally, she has worked as a research assistant on an externally funded national project, contributing to report preparation, data analysis, and incorporation of expert feedback, and has also gained industry exposure through business development, documentation, data analytics, and client engagement roles. Her research interests span corporate finance, sustainable finance, green accounting, ESG reporting, corporate governance, CSR, earnings management, and climate-related financial issues. Methodologically, her work integrates advanced econometric techniques, meta-analysis, social network analysis, text mining, and mixed-methods approaches using contemporary analytical tools. She has published in reputed peer-reviewed journals indexed in leading academic rankings and actively presents her work at national and international conferences. Her scholarly contributions have been recognized through competitive academic awards, reflecting the relevance and rigor of her research. Overall, her profile reflects a balanced integration of teaching, research excellence, methodological depth, and a strong commitment to advancing sustainability-driven finance scholarship.

Citation Metrics (Scopus)

120
100
50
10
5
0

Citations
100

h-index
4

 i10index
3

Citations

h-index

i10-index

Featured Publications


The interplay of sustainability, corporate green accounting and firm financial performance: a meta-analytical investigation


Sustainability Accounting, Management and Policy Journal · Article · Cited by 56 · 2024


Environmental accounting: One dimension of sustainable development


Jaipuria International Journal of Management Research · Article · Cited by 3 · 2020
Full text availability depends on publisher access

Abhishek Halder | Finance | Best Researcher Award

Mr. Abhishek Halder | Finance | Best Researcher Award

Indian Institute of Management Raipur | India

Abhishek Halder is a researcher and academic specializing in finance, accounting, and corporate bankruptcy risk. He holds a Ph.D. in Management (Finance and Accounting), a Post-Graduate Diploma in Management (Banking and Financial Services), and a B.Tech in Civil Engineering. He has served as a Guest Assistant Professor in management, Academic Associate in communications, and Assistant Manager in service delivery assurance, contributing to curriculum development, teaching, evaluation, and governance risk reporting. His research interests focus on bankruptcy risk prediction, financial flexibility, corporate green revenues, energy uncertainty, and the effects of corruption and geopolitical factors on firm performance. He has published in journals including Energy Economics, International Review of Economics & Finance, and Applied Economics, and has contributed to book chapters and international conference proceedings. His work has received recognition for research excellence. Currently, his scholarly contributions include 17 citations, an h-index of 2, and an i10-index of 0. Proficient in Stata, R, Python, SPSS, E-Views, Jamovi, and LaTeX, he continues to advance research in corporate finance, financial risk assessment, and sustainable business practices while actively participating in academic workshops and conference organization.

Profiles: Scopus | Orcid | Google Scholar

Featured Publications

Halder, A., & Kannadhasan, M. (2024). Exploring the ingredients, mixtures, and inclinations of geopolitical risk. International Review of Economics & Finance, 90, 187–206.

Halder, A., & Kannadhasan, M. (2022). Knowledge structures, progression and emergent areas of corporate bankruptcy: A bibliometric and topic modelling analyses. Progression and Emergent Areas of Corporate Bankruptcy: A Bibliometric and Topic Modelling Analyses.

Manickam, T., Halder, A., & Kannadhasan, M. (2022). Unfolding the ingredients, compounds and tendencies of geopolitical risk. Compounds and Tendencies of Geopolitical Risk.

Halder, A. (2021). Value creation through mergers and acquisitions in selected Indian companies in 21st century.

Halder, A. (2019). Risk assessment and quantification of Wealthsurance Equity Growth Fund of IDBI Federal Life Insurance. International Journal of Management, 10(4), 44–67.