The impact of macroeconomic fundamentals on stock prices revisited: An evidence from Indian data N Pramod Kumar, P Puja | 376 | 2012 |
Emerging markets and financial crises: regional, global or isolated shocks? D Kenourgios, P Padhi Journal of Multinational Financial Management 22 (1-2), 24-38, 2012 | 178 | 2012 |
On the linkage between stock market development and economic growth in emerging market economies: Dynamic panel evidence PK Naik, P Padhi Review of Accounting and Finance 14 (4), 363-381, 2015 | 76 | 2015 |
Investor sentiment, stock market returns and volatility: Evidence from National Stock Exchange of India PK Naik, P Padhi International Journal of Management Practice 9 (3), 213-237, 2016 | 61 | 2016 |
The implied volatility index: Is ‘investor fear gauge’or ‘forward-looking’? I Shaikh, P Padhi Borsa Istanbul Review 15 (1), 44-52, 2015 | 55 | 2015 |
Price discovery and volatility spillover effect in Indian commodity market MT Shihabudheen, P Padhi Indian Journal of Agricultural Economics 65 (1), 2010 | 54 | 2010 |
R&D intensity and market valuation of firm: a study of R&D incurring manufacturing firms in India KN Pramod, N Krishnan, P Puja | 51 | 2012 |
The relationship between stock market volatility and trading volume: Evidence from South Africa PK Naik, R Gupta, P Padhi The Journal of Developing Areas 52 (1), 99-114, 2018 | 45 | 2018 |
On the relationship between implied volatility index and equity index returns I Shaikh, P Padhi Journal of Economic Studies 43 (1), 27-47, 2016 | 30 | 2016 |
Volatility spillover and time-varying correlation among the Indian, Asian and US stock markets P Padhi, MA Lagesh Journal of Quantitative Economics 10 (2), 78-90, 2012 | 30 | 2012 |
Stock market volatility and equity trading volume: Empirical examination from Brazil, Russia, India and China (BRIC) PK Naik, P Padhi Global Business Review 16 (5_suppl), 28S-45S, 2015 | 29 | 2015 |
The forecasting performance of implied volatility index: evidence from India VIX I Shaikh, P Padhi Economic Change and Restructuring 47, 251-274, 2014 | 28 | 2014 |
Interaction of macroeconomic factors and stock market index: Empirical evidence from Indian data PK Naik, P Padhi Available at SSRN 2150208, 2012 | 27 | 2012 |
On the relationship of implied, realized and historical volatility: evidence from NSE equity index options P Padhi, I Shaikh Journal of Business Economics and Management 15 (5), 915-934, 2014 | 25 | 2014 |
Determinants of nonperforming assets-bank-specific and macroeconomic factors: A panel data analysis of different group of commercial banks operating in India. B Patra, P Padhi Theoretical & Applied Economics 23 (4), 2016 | 23 | 2016 |
Health expenses and economic growth: convergence dynamics across the Indian States N Apergis, P Padhi International journal of health care finance and economics 13, 261-277, 2013 | 23 | 2013 |
Information and communication technology in microfinance sector: Case study of three Indian MFIs V Singh, P Padhi IIM Kozhikode Society & Management Review 4 (2), 106-123, 2015 | 22 | 2015 |
An empirical evidence of dynamic interaction between institutional fund flows and stock market returns PK Naik, P Padhi | 22 | 2014 |
Stock market volatility in India: A case of select scripts P Padhi Indian Institute of Capital Markets 9th Capital Markets Conference Paper, 2006 | 22 | 2006 |
Inter-temporal relationship between India VIX and Nifty equity index I Shaikh, P Padhi Decision 41, 439-448, 2014 | 21 | 2014 |