Date-Sheet for Mid Semester Exam of Term -23242/2324T Click Here >>
Date-Sheet for Reappear Exam of Term-2324C Click Here >>
Reappear / Improvement Registration for Term 2324C - Notice Click Here >>
Dr Garima Baluja
Journals
  • Baluja, G. & Singh (2019). The impact of market conditions on the aftermarket survival of Initial Public Offerings in India : An Accelerated Failure Time approach. “The IUP journal of financial risk management”, 16 (2), 7-30.
  • Baluja, G. (2019). Role of Corporate Governance in determining IPO Survival. The IUP Journal of Corporate governance, 18(2), 25-38.
  • Baluja, G. (2019). Effect of Demonetization on Indian Stock Market: An Empirical study. Management Today, 9(2), 84-90.
  • Baluja, G. (2018). Does Size matters for IPO survival: Empirical Evidence from India. Vision- The Journal of Business Perspective, 22(1), pp. 88-104.
  • Baluja, G. (2017).Survival of the Fittest: An Empirical Analysis of IPOs in the Post-SEBI Era. Business Analyst, 37(2), pp. 79-106.
  • Baluja, G., & Singh B. (2016). Lead Manager’s Reputation and Aftermarket Survival of Initial Public Offerings: Empirical Evidence from India. Management and Labor Studies, Sage Publication, 41(4), pp. 384-404.
  • Baluja, G. (2016). Financial Literacy among Women in India: A Review. Pacific Business Review International, 9(4), pp. 82-88.
  • Baluja, G., & Singh, B. (2016). The Survival Analysis of Initial Public Offerings in India. Journal of Advances in Management Research, 13(1), pp. 23-41.
  • Baluja, G., & Singh, B. (2015). Survival Pattern of Initial Public Offerings in India: An Empirical Study. Amity Business Review, 15(2), pp. 1-18.
  • Baluja, G., & Singh, B. (2014). The Determinants of Survival of Initial Public Offerings in India: An Empirical Study. The IUP Journal of Financial Risk Management, 11(4), pp. 7-30.
  • Baluja, G. (2013). Comparative Analysis of listing price performance between different graded IPOs in India. Pacific Business Review International, 6(5), pp. 1-7.
  • Arora, H., & Baluja, G. (2013). Dynamics of FII flows on Indian stock market volatility: An empirical exploration using Garch Approach. Pacific Business Review International, 6(2), pp. 41-47.
  • Baluja, G., & Arora, H. (2011). Impact of Mutual Fund Investment on Indian Stock Market Volatility: A Garch Approach. Business Vision, 7(I &II), pp. 97-106.
  • Baluja, G. (2012). Inflation Growth Nexus: An Empirical analysis of India. Almanac 2012: Inflationary Tendencies in Indian Economy & its Impact on Growth, II, pp. 301-307.
f