Faculty Profile

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Name: Dr. Aravind M

Designation: Asso. Professor

Email: aravind.m@tkmim.ac.in

Mobile: 09645095662


Office Phone: 04742482465

Home Phone:

Address: Veluthottu Madom
Vettikkavala P.O
Kottarakkara
Kollam-691538

Education

B.Com (Taxation Law and Practice) from University of Kerala (2002-05)
MBA (Finance) from University of Kerala (2005-07)
UGC NET (Management), The University Grants Commission (2009)
PhD (Management Studies), Sri Chandrasekharendra Saraswathi Viswa Mahavidyalaya (Kanchi University), 2009- 2014

Publications

Book:
Aravind, M. (2019), Principles of Financial Management: Practice and Decisions, Viva Books, New Delhi, ISBN: 978-93-88386-57-9

Journals

Articles Published in Journals

1. “Workforce Anxiety due to COVID-19 Pandemic: The Mediation effect of Personal Finance among Private Labor Force in Kerala”. International Journal of Business and Society, 23(3), 2022, pp. 1570-1587, Publisher is Faculty of Economics and Business, Universiti Malaysia Sarawak, Malaysia (Indexed in Scopus, Web of Science, ABDC-C)

2. “Rethinking regional print media business in India during the COVID-19 crisis”. Media Asia. Accepted for Publication, 49(1), pp. 65-69, 2021. Publisher is Asian Media Information and Communication Centre Inc., Philippines, c/o Philippine Women\'s University through Routledge- Taylor & Francis Group. (Indexed in Scopus)

3. “Trading with Financial Derivatives: The Economic Objectives and Post Investment Behavior”. Finance India, 35(4), pp. 1339-1348 ,2021, Publisher is Indian Institute of Finance (Indexed in Scopus , ABDC-C)

4. “COVID - 19 Pandemic and its Impact on Labor Force: A New Model Based on Social Stress Theory and Prospect Theory”. Scientific Papers of the University of Pardubice, Series D: Faculty of Economics and Administration, 28(3), pp. 1-12, 2020. Published by University of Pardubice, Czech Republic. (Indexed in Scopus).

5. “Integration of Oil with Macroeconomic Indicators and policy challenges in regard to Oman”. International Journal of Energy Sector Management. 14(1), pp. 172-192, 2020. Published by Emerald, UK. (Indexed in Scopus, Web of Science, ABDC-C).

6. “Customer’s Operational Risk towards Electronic banking products and its Mitigation: a Covariance Based Structural Equation Modeling Approach”. International Journal of Electronic Banking. 2(1), pp. 38-54., 2020. Published by Inderscience Publishers, Switzerland. (Listed in ABDC-C).

7. “COVID 19: Effect on leading Pharmaceutical Stocks listed with NSE”. International Journal of Research in Pharmaceutical Sciences. 11(SPL1), pp. 31-36, 2020. Published by Pharmascope Foundation, India. (Indexed in Scopus).

8. “Client Driven Trading Strategies: A Practical Modeling in the Context of Financial Derivatives Market”. Serbian Journal of Management. 14(1), pp. 123-144, 2019. Published by Technical Faculty in Bor, University of Belgrade, Serbia. (Indexed in Scopus, Web of Science).

9. “Economic Performance and Human Development: A Critical Examination on SAARC Region”. The Romanian Economic Journal. XXII (71), pp. 79-92, 2019.Published by Department of International Business and Economics, Bucharest University of Economic Studies, Romania.

10. “FX Volatility Impact on Indian Stock Market: an Empirical Investigation”. Vision- The Journal of Business Perspective. 21(3), pp. 284-294, 2017. Journal of MDI, Gurgaon & Published by SAGE (Indexed in Scopus, Web of Science, ABDC-C).

11. “A Scrutiny on Volatility and Leverage Effect in Indian Stock Market with Reference to Gold, Oil, Dollar Rates”. Drishtikon: A Management Journal. 9(2), pp. 1-19, 2018. Published by Symbiosis Centre for Management and Human Resource Development, Pune

12. “Dynamic linkage among Sectoral Indices: Evidence from Indian Stock Market”. Rajagiri Management Journal. 11 (2). pp. 3-20, 2017. Published by Rajagiri Centre for Business Studies, Kochi. (Indexed in UGC CARE Group 1)

13. “Divergence in Cash position metrics: An appraisal of Metal industry in India”. The Journal- Contemporary Management Research. 11(1), pp. 56-74, 2017. Published by CECMAR- Bharathidasan Institute of Management, Bharathidasan University.

14. “Influence of Working Capital Metrics on Profitability: a Critical Examination on Indian Manufacturing Sector”. Kelaniya Journal of Management. 5(1), pp. 58-80, 2016. Published by Faculty of Commerce and Management Studies, University of Kelaniya, Sri Lanka.

15. “Contrarian and Momentum Strategies: An investigation with reference to Sectoral Portfolios and in NSE”. NMIMS Management Review. 29, pp. 102-117, 2016. Published by Narsee Monjee Institute of Management Studies, Mumbai. (Indexed in Web of Science, UGC CARE Group 1).

16. “Pricing of Exchange Traded Gold Funds: Capital Asset Pricing Method”. SCMS Journal of Indian Management. 12 (4), pp. 64-70, 2015. Published by School of Communication and Management Studies, Cochin. (Indexed in Scopus).

17. “Trading with Financial Derivatives: Investors aspiration on Depository Participants”. Madras University Journal of Business and Finance. 3 (2), pp. 104-113, 2015. Published by Department of Commerce, University of Madras.

18. “Financial Soundness of Reality Industry in India: an Investigation”. Parikalpana. 11 (2), pp.13-26, 2015. Published by Kalinga Institute of Industrial Technology (KIIT), Bhubaneswar. (Indexed in UGC CARE Group 1).

19. “Reverse Mortgage Schemes in India: Trends and Prospects”. Caarmel Journal of Management Research. 3(2), pp.45-49, 2015. Published by Believers Church Caarmel Engineering College, Pathanamthitta.

20. “Diversification of LNI’s fund towards Financial Derivatives: an evaluation through Delphi technique”. Wide Spectrum Research Journal. 3 (10), pp. 61-70, 2015. Published by GRD College Science, Coimbatore.

21. “Earnings Management Behavior by Indian IT giants: A Case Examination Using Beneish Model”. Journal of Management and Innovative Information Technology. 1 (1), pp. 10-16, 2015. Published by Marthoma Institute of Information Technology, Ayur.

22. “The Gold Price Movements- A Technical Analysis”. GITAM Journal of Management. 12 (2), pp. 246-256, 2014. Published by GITAM University, Visakhapatnam.

23. “A conceptual framework on social marketing strategies in association with financial products”. Management Innovator. pp. 32-35, 2014. Published by Researchers Forum, University of Kerala.

24. “An Empirical Study on the financial soundness of Information Technology industry in India using Z score model”. Caarmel Journal of Management Research. 1.(1), pp. 40-48, 2013. Believers Church Caarmel Engineering College, Pathanamthitta.

25. “Micro Investment in India’s Capital Market”. Third Concept. 26(307), pp. 34-36, 2012. Monthly Magazine published from New Delhi. (Listed in UGC CARE Group 1).

26. “Currency Derivatives in India”. HRD TIMES. 14 (9), pp.41-42, 2012.

27. “An evaluation on performance of portfolios created from Oil and Gas sector with special reference to BSE SENSEX”. Commerce and Management Explorer. 2(2), pp. 397-405, 2012. Published by Catholicate College, Pathanamthitta.

28. “Random Movement of Stock Prices: A Case Study of Navaratna Companies in India”. Al-Barkaat Journal of Finance and Management. 4 (1), pp. 38-55,2012. Published by Al-Barkaat Institute of Management Studies, Aligarh, Uttar Pradesh.

29. “Value Added Tax: Relevance, Benefits and Disparagements”. HRD TIMES. 14 (1).pp. 36-37,2012.

30. “A Test on market efficiency of BSE BANKEX: An empirical research”. International Journal of Research in Commerce and Management. 2(12), pp. 37-43,2011.

31. “Market Consciousness and Derivative Trading- An analytical study”. Crescent Journal of Business. 1 (1), pp. 63- 73,2011, published by Crescent School of Business, B.S. Abdur Rahman University, Chennai.

32. “A study on the influence of sectorial indices on BSE SENSEX with special reference to BSE Auto, BANKEX and BSE IT”. Management Innovator. 3 (2), pp. 37- 44, 2010. Published by Researchers Forum, University of Kerala

Biography

Dr Aravind M. is an Associate Professor in the Finance Department at the TKM Institute of Management. He has more than fourteen years of experience in academia and industry. He holds MBA and Ph.D degrees and has cleared UGC NET in Management. He has published more than 30 research articles in journals of national and international repute and a significant number of them are indexed in SCOPUS and ABDC. He has presented research papers in several seminars and conferences. He has also authored one book on Financial Management and published by Viva Books, New Delhi. He is also serving as an external expert in the editorial board of two national journals and one international journal. He has carried out numerous consultancy works for the government agencies as well as for the corporate. He is a life member of Indian Accounting Association.

Google Scholar: https://scholar.google.com/citations?user=Uz_aJbIAAAAJ&hl=en
ORCID: 0000-0002-0013-5488
Scopus : 57195431901
WEB of Science: AAW-1018-2021

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