Financial performance shortfall, ESG controversies, and ESG performance: Evidence from firms around the world R DasGupta Finance Research Letters 46, 102487, 2022 | 161 | 2022 |
INTEGRATION AND DYNAMIC LINKAGES OF THE INDIAN STOCK MARKET WITH BRIC – AN EMPIRICAL STUDY R Dasgupta Asian Economic and Financial Review 4 (6), 715-731, 2014 | 67 | 2014 |
“Long-Run and Short-Run Relationships between BSE SENSEX and Macroeconomic Variables” R Dasgupta International Research Journal of Finance and Economics (IRJFE), 135-150, 2012 | 66 | 2012 |
Demographic and socioeconomic impact on risk attitudes of the Indian investors-an empirical study S Chattopadhyay, R Dasgupta Asian Economic and Financial Review 5 (4), 601, 2015 | 49 | 2015 |
Cross-impact of leverage and firm performance: developed vs frontier bank-based economies S Mishra, R Dasgupta Managerial Finance 45 (8), 982-1000, 2019 | 41 | 2019 |
BRIC and US Integration and Dynamic Linkages An Empirical Study for International Diversification Strategy R Dasgupta INTERDISCIPLINARY JOURNAL OF CONTEMPORARY RESEARCH IN BUSINESS 5 (7), 536-563, 2013 | 28 | 2013 |
Firm environmental, social, governance and financial performance relationship contradictions: Insights from institutional environment mediation R DasGupta, A Roy Technological Forecasting and Social Change 189, 122341, 2023 | 26 | 2023 |
Environmental, social and governance performance and earnings management–The moderating role of law code and creditor's rights R Pathak, RD Gupta Finance Research Letters 47, 102849, 2022 | 22 | 2022 |
Multinational enterprises’ internationalization and adoption of sustainable development goals R DasGupta, S Kumar, R Pathak International Journal of Managerial Finance 18 (4), 617-638, 2022 | 20 | 2022 |
Moderation impact of national culture on international firm’s environmental, social, governance and financial performance R DasGupta, A Roy International Journal of Intercultural Relations 92, 101749, 2023 | 17 | 2023 |
Risk-Attitudes of the NSE 500 Firms - Bowman's Paradox and Prospect Theory Perspectives R Dasgupta IIMB Management Review 29, 76-89, 2017 | 17 | 2017 |
Investor sentiment antecedents: A structural equation modeling approach in an emerging market context R DasGupta, R Singh Review of Behavioral Finance 11 (1), 36-54, 2018 | 16 | 2018 |
Does the legal origin affect corporate cash holding? R Dasgupta, R Pathak International Journal of Emerging Markets, 2020 | 13 | 2020 |
Firm’s Risk-Return Association Facets and Prospect Theory Findings – An Emerging versus Developed Country Context R DasGupta, R Pathak Risks 6 (4), 2018 | 13 | 2018 |
Behavioral implications of risk-return associations: an application of prospect theory on CNX NIFTY companies R Dasgupta Australasian Accounting, Business and Finance Journal 11 (3), 103-126, 2017 | 13 | 2017 |
Role of educational, regional and religious attributes of CEOs in performance of Indian family firms R DasGupta, R Pathak International Journal of Managerial Finance 18 (5), 997-1027, 2022 | 11 | 2022 |
Exploring the relationship between risk and performance in listed Indian firms R DasGupta, SG Deb International Journal of the Economics of Business 27 (3), 411-430, 2020 | 7 | 2020 |
Successful implementation of quality circles in an Indian Maharatna Unit: the driving factors R Dasgupta Decision 41 (1), 33-50, 2014 | 7 | 2014 |
The stability of dividends and its predictability: a cross-country analysis R Pathak, RD Gupta International Journal of Managerial Finance 18 (2), 261-285, 2022 | 5 | 2022 |
The analysis of debt levels in public firms: an international evidence R Pathak, R Das Gupta, A Jalali Managerial Finance 47 (11), 1553-1570, 2021 | 5 | 2021 |