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Taral Pathak

Assistant Professor
PhD (Ganpat University)
Areas of interest
Risk Management; Asset Bubbles; Monetary Policy

An academican with a flair and intent for meaningful research contributions to the field and drawing from my early research endeavours I'm focused on consolidating my research output into a India-focussed academic writing. Insights into frugually-researched domain of asset buubles in India is the area of my research interest which was also the topic of my doctoral study, titled, “Asset Bubble identification and its impact on Monetary Policy”.    

I'am an Associate Charted Accountant (ACA) with a Masters in Commerce and a flair for teaching with a cumulative experience of a decade and a half as a practitioner and an academician. 

I’ve dealt with Project Finance, Loan Syndications and Valuations in the broad domain of Risk Management with a niche in derivates.

As an academician, I’ve presented papers in conferences of repute and published in peer-reviewed journals.

Current Research for Publication:

Pathak, T.  'Monetary Policy as Tool to manage Asset Price Bubbles caused by Global Capital Flows: An India Based Empirical Study' 

Pathak, T. & Tewari, R. 'Theoretical grounding for Sustainability Reporting: A Comparison between Indian and European Banks’ for publication in Sustainable Development

Pathak, T. & Tewari, R. ‘Positive Impact Finance as a Tool for Sustainable Development:Early Impressions

 

Conference papers for current year (2016-17)

Poster presentation at India Finance Conference to be held at IIM-A on 19-20 December, 2016. 

Paper presentation at ICMC, to be organized by MICA on 17-21 Jan, 2017

 

Conference Papers in the Past

Pathak, T. & Patel, A. (2016). . Hedge Accounting- Concepts, Issues and Challenges for Risk Management in Energy Sector, presented at International Conference in Energy and Infrastructure Management held at PDPU, Gandhinagar on 18-19 February, 2016. 

Pathak, T. (2014). Impact of Global Capital Flows on Indian Real Estate and Stock Market at the Fore International Finance Conference (FIFC - 2014) organized by Fore School of Management on 27-28 November, 2014 at New Delhi. 

“Sustainable CSR For Micro, Small And Medium Enterprises” at 20th International Sustainable Development Research Conference organized by Norwegian University of Science and Technology held on 18-20 June 2014  at Trondheim, Norway.

 

Journal Articles 

Tewari, R. & Pathak, T. (2015) ‘A Correlation between the Mass Media Communication and Foreign Investments in India’ in Prabandhan: Indian Journal of Management, Vol. 8, No. 10, October, 2015, pp. 32-42  

Tewari, R. and Pathak, T. (2013). “Framing India- Pre-post Globalization’ in Journal of Media Studies, Vol. 28, No. 1 pp. 40-56

Chapters in Edited Books / Conference Proceedings

 Pathak, T. and Patel, A. (2016). Pathak, T. & Patel, A. (2016). Hedge Accounting- Concepts, Issues and Challenges for Risk Management in Energy Sector in Kishore, Kaushal (ed) Energy and Infrastructure Management in Changing Global Dynamics., New Delhi, Excel Publishers. ISBN: 978-93-85777-26-4

Pathak, T. (2015). Impact of Global Capital Flows on Indian Real Estate and Stock Market, in A.K. Puri and Kanhaiya Singh (Eds.), Emerging Horizons in Finance, 139-154, New Delhi, Bloomsbusry

Tewari, R. and Pathak, T. (2014). Sustainable CSR For Micro, Small And Medium Enterprises” in Proceedings of the 20th International Sustainable Development Research Conference Trondheim 18-20 June 2014; ISBN: 978-82-91917-34-4; Published by Norwegian University of Science and Technology; Norway.

 

 

Designed and Delivered with co-facilitators a week long training program for Heritage Managers organized by CCRT in 2015 & 2017.

 

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