Dr Shegorika Rajwani Lalchandani

Dr Shegorika Rajwani Lalchandani

Educational Qualifications
Awarded PhD in Finance from Indian Institute of Foreign Trade (IIFT) in August 2016.
Topic of PhD: Economic crises and its Contagion Effect on the Indian Stock Market: An Empirical Analysis
Postgraduate Diploma in Business Administration, PGDM (Finance) from All India Management Association (AIMA).
Post Graduate Diploma in Financial Management, Pondicherry University in 2002.
Post Graduation in Commerce (M.Com), a two year program from Annamalai University in 2001.
Bachelor of Commerce (B.Com Hons.), a three year program from Lakshmi Bai College (Delhi University) in 1999.
Profile
Dr. Shegorika has more than 15 years of work experience in Teaching, Training and Research. Her research interests include International stock markets, Foreign Exchange market. She has published research papers in reputed refereed journals. Apart from teaching, she has conducted training for professional and faculties on stock markets. She has done training programmes for Maruti, CBSE teachers and executive education programme at IBM, Gurgaon (now Concentrix).

Research Interests
Stocks markets extending to financial markets

Teaching Interests
Financial markets, International Finance, Corporate Finance, Financial Planning and wealth management.

Courses Taught
Indian Financial System, International Finance, Financial Management, Investment Planning and Accounting.

Professional Activity
  • Has imparted over 700 hours of training on a wide variety of products like, Foreign Exchange, International Finance, Derivatives, Capital Markets, Stock Market related topics, Soft Skills, Customer Relationship Management, etc.
  • Managing and conducting the entire Training of Teachers’ (TOT) program for training CBSE teachers and Delhi Govt. schools teachers from all over India on Financial Markets Management-I and II. Also prepared training material for the same.
  • Designed customized courses for corporate trainings and also imparting the same at various forums.
  • Conducted half day training for Middle level managers on International Financial Management under the head ‘Finance for Non- Finance’ held at MDI, Gurgaon in September 2016.
  • Conducted one day workshop on “Application of Spreadsheet in Operations, Finance & Marketing” at the PHD House New Delhi in June 2014.
  • Conducted one day workshop on “Application of Spreadsheet in Operations, Finance & Marketing” at the PHD House New Delhi in September 2014.
  • Conducted one day workshop on “Finance for Non-Finance” at the PHD House New Delhi in February 2013.
  • Conducted one day workshop on “Excel in Finance” at the PHD House New Delhi in October 2013.

Publications
International Publications
  • Pal, N & Rajwani, S., Turkey Currency Crisis Contagion-An Empirical Study on currencies of BRICS and six other countries ready for submission.
  • Rizvi, S & Rajwani, S. (Submitted for review). Bubbles and Recessions-A Behavioural Finance Contagion Effect on the BRIC markets, Managerial Finance, Emerald. ‘C’ category in ABDC list and SCOPUS indexed.
  • Rajwani, S. & Kumar, D. (Forthcoming, 2019). Measuring dependence between the U.S. and the Asian Economies: A time varying Copula approach, Global Business Review. Vol. 20, Issue 5 (September – October 2019). C’ category in ABDC list and SCOPUS indexed.
  • Rajwani, S. & Kumar, D. (2016). Asymmetric dynamic conditional correlation approach to financial contagion: A study of Asian markets, Global Business Review. Vol. 17, Issue 6 (November – December 2016). C’ category in ABDC list and SCOPUS indexed.
  • Rajwani, S. (2015). Financial Interdependence Versus Contagion in Stock Markets, Global Journal for Research Analysis, Vol. 4, Issue 5, ISSN No 2277 – 8160.
  • “A Dynamic Conditional Correlation analysis based approach to test Financial Contagion in developing markets”, (2015), Proceeding of GCMRM conference, published by Springer in the book titled “Managing in Recovering markets” (co- author D. Kumar).
  • Rajwani, S. & Mukherjee, J., (2013) “Is the Indian Stock Markets Cointegrated with other Asian Markets?”, Management Research Review (Emerald Journal), Vol. 36, No. 9. C’ category in ABDC list.

International Conferences
  • Presented a paper at India Finance Conference conducted by IIM-A, B and C, held at IIM Calcutta from 20 Dec-22 Dec, 2018. The paper is titled “Bubbles and Recessions-A Behavioural Finance Contagion Effect on the BRIC markets”, co- authored with Dr. Saima Rizvi.
  • Presented a paper at 6th on Empirical Issues in International Trade and Finance (EIITF) conducted by Indian Institute of Foreign Trade (IIFT) from 13- 14 December, 2018. The paper is titled “Risk Spillover from U.S stock market to Asian Markets", co- authored with Dr. Dilip Kumar (Assistant Professor at IIM Kashipur).
  • Presented a paper at 2nd International Finance Conference conducted by and held at Jamia Millia Islamia on 11th October, 2017. The paper is titled “Bubbles and Recessions: A Behavioural Finance Macro Perspective and Strategy adopted by Portfolio Manager", co- authored with Dr. Saima Rizvi (Associate Professor at IILM, Gurgaon).
  • Presented a paper at 4th PAN IIM Conference held at IIM Ahmedabad conducted by all IIMs from 13 Dec-15 Dec, 2016. The paper is titled “Measuring Dependence between the U.S. and the Asian Economies: A Time Varying Copula approach ", co- authored with Dr. Dilip Kumar (Assistant Professor at IIM Kashipur). The paper was nominated for “Best Paper Award”.
  • Presented a paper at India Finance Conference conducted by IIM-A, B and C, held at IIM Bangalore from 17 Dec-19 Dec, 2014. The paper is titled “Asymmetric Dynamic Conditional Correlation Approach to Financial Contagion: A Study of Asian market”, co- authored with Dr. Dilip Kumar (Assistant Professor at IFMR).
  • Presented a paper at India Finance Conference conducted by IIM-A, B and C, held at IIM Bangalore from 17 Dec-19 Dec, 2014. The paper is titled “Measuring Financial Contagion on the BEM economies: A Time Varying Copula approach", co- authored with Dr. Dilip Kumar (Assistant Professor at IFMR).
  • Presented a paper at Global Conference on Managing in Recovering Markets (GCMRM) conducted by MDI, Gurgaon, held at MDI, Gurgaon from 5 March- 7 March 2014. The paper is titled “A Dynamic Conditional Correlation analysis based approach to test Financial Contagion in developing markets”, co- authored with Dr. Dilip Kumar (Assistant Professor at IFMR).
  • Presented a paper at India Finance Conference conducted by IIM-A, B and C, held at IIM Ahmadabad from 18 Dec-21 Dec, 2013. The paper is titled “Financial Contagion: A DCC Analysis”, co- authored with Dr. Dilip Kumar (Assistant Professor at IFMR).
  • Presented a paper at 5th Conference on Excellence in Research & Education held at IIM Indore from 9 – 12 May 2013. The paper is titled “Interdependence or Contagion: Evidence from Global Stock Markets”, co- authored with Dr. Jaydeep Mukherjee (Assistant Professor at IIFT).
  • Presented a paper at 3rd Conference on Empirical Issues in International Trade and Finance (EIITF) conducted by Indian Institute of Foreign Trade (IIFT), Kolkata from 10- 11 Jan, 2013. The paper is titled “Is the Indian stock market cointegrated with other Global stock markets?”, co- authored with Dr. Jaydeep Mukherjee (Assistant Professor at IIFT).
  • Presented a paper at India Finance Conference conducted by IIM-A, B and C, held at IIM Calcutta from 18 Dec-21 Dec, 2012. The paper is titled “Is the Indian stock market cointegrated with Asian vis-à-vis other developed markets: A Time- Series analysis in the presence of endogenous structural breaks”, co- authored with Dr. Jaydeep Mukherjee (Assistant Professor at IIFT).
  • Presented a paper at 4th Conference on Excellence in Research & Education held at IIM Indore from 10 – 13 May 2012. The paper is titled “Linkages between Indian Stock Market and Other Asian Markets: An Empirical Analysis in the Presence of Endogenous Structural Breaks”, co- authored with Dr. Jaydeep Mukherjee (Assistant Professor at IIFT).
Books/Chapters in Books
  • Authored a book on Capital Market and Derivatives Market for CBSE for the course named Financial Markets Management (FMM) in 2008. The book is for class XII under the name of Introduction to Financial Markets – II.
  • Authored a book on the practical aspects of Capital Market and Derivatives Market for CBSE for the course named Financial Markets Management (FMM) in 2008. The book is for classes XI & XII under the name of “Practical Manual of Introduction to Financial Markets – I & II”.
  • Authored a book on stock markets under the name of ‘Understanding Stock Markets’ for BLB Institute of Financial Markets published in 2009.
  • Authored 14 chapters of a book on Corporate Finance for post graduate students of USA for Textbooksfree publishers (USA).
  • Contributed 2 Units in Business Studies Class XI book of CBSE-I curriculum published in 2012 (Students’ Manual and Teachers’ manual).
  • Contributed 2 Units in Business Studies Class XII book of CBSE-I curriculum published in 2013 (Students’ Manual and Teachers’ manual).
  • Contributed 1 Unit in Accountancy Class XII book of CBSE-I curriculum published in 2013 (Students’ Manual and Teachers’ manual).
  • Contributed 1 Unit in Entrepreneurship Class XI, 2013- 2014.
  • Worked as curriculum and book writing committee member of CBSE for the Financial Literacy programme introduced from 2013-2014.
  • Worked as curriculum and book writing committee member of CBSE for Entrepreneurship Class XI and XII, 2013-2015.
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