DM

Debasish Maitra

Indian Institute of Management Indore, Institute of Management Technology Ghaziabad, Institute of Rural Management, Bidhan Chandra Krishi Viswa Vidyalaya, Union Bank of India

ORCID iD 0000-0001-5099-6799

Employment

  • Indian Institute of Management Indore Assistant Professor
    2016 - Present
  • Institute of Management Technology Ghaziabad Assistant Professor
    2012 - 2016
  • Union Bank of India Assistant Manager
    2007 - 2008

Education

  • Institute of Rural Management FPRM
    2008 - 2013
  • Bidhan Chandra Krishi Viswa Vidyalaya M.Sc.
    2003 - 2005
  • Bidhan Chandra Krishi Viswa Vidyalaya
    1999 - 2003

Projects & Funding

Projects & funding information is unavailable.

Publications (23)

  • Does State‐Level Economic Policy Uncertainty Affect Financial Distress Risk of Financial Institutions?
    European Financial Management 2026 0 citations DOI: 10.1111/eufm.70054
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  • Bank Financial Distress and Stock Price Crashes: A Quasi‐Experimental Approach
    European Financial Management 2025 4 citations DOI: 10.1111/eufm.12529
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  • Commodity Price Crash Risk and Crash Risk Contagion
    Journal of Futures Markets 2025 2 citations DOI: 10.1002/fut.22566
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  • The good, the bad and the ugly relation between oil and commodities: An analysis of asymmetric volatility connectedness and portfolio implications
    Energy Economics 2021
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  • Does bitcoin co-move and share risk with Sukuk and world and regional Islamic stock markets? Evidence using a time-frequency approach
    Research in International Business and Finance 2020
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  • Liner shipping industry and oil price volatility: Dynamic connectedness and portfolio diversification
    Transportation Research Part E: Logistics and Transportation Review 2020
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  • Period specific volatility spillover based connectedness between oil and other commodity prices and their portfolio implications
    Energy Economics 2020
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  • Dynamic spillovers and connectedness between stock, commodities, bonds, and VIX markets
    Pacific-Basin Finance Journal 2019
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  • Economic policy uncertainty and stock market liquidity: Evidence from G7 countries
    International Review of Finance 2019
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  • Portfolio management and dependencies among precious metal markets: Evidence from a Copula quantile-on-quantile approach
    Resources Policy 2019
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