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Prof.Parminder Kaur Bajaj
APID: 3063
capProfessor at Jagan Institute of Management Studies, Rohini,Delhi Delhi, Delhi
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My Biography

Dr. Parminder Bajaj is currently working as a More Professor Controller of Examination in JIMS, Rohini (sec-5). she has an extensive academic experience of more than 21 years. After doing her B.Com(Hons) and M.com from GNDU (Amritsar), she Qualified her UGC ,NET Exams .Her area of interest is Financial Econometrics ,accounting and finance. Apart from holding doctorate degree, she is having professional membership of ICA (Indian Commerce Association) and Indian Finance Association (IFA). She has also done NISM certification in equity derivatives, commodity derivatives and currency derivatives and has done Diploma in Financial Markets, Technical Analysis Program, Financial Modelling Program.She has published many research papers in National and international journals and has presented papers in conferences like IIT Delhi, IIT Kharagpur, IIM-Calcutta,IIM Kashipur etc. She has also completed CMI level 5 certification on Management and Leadership through UKIERI (UK India Research Education Initiative) organised by Dudley college,UK and AICTE (2019). She also attended research summer school organised by IIM Calcutta in May 2021. She has also completed data science certification from Emerging India Analytics(NASSCOM Training institute). She has also delivered lectures on Time series Analytics in various FDPs and MDPs like Delhi Social Welfare Board and NIBSCOM.

Area Of Expertise

Financial Econometrics

Area of Intrest

Sock Market Research

Honors and Awards



Best Teacher Award by Research Education Solutions(Registered as Micro Enterprise with MSME, Government of India) on 05/09/2022
 Received Best Teacher Award from Research Education Solutions(Registered as Micro Enterprise with MSME, Government of India) at International Award Ceremony on the Birth Anniversary of Dr. Sarvepalli Radha Krishnan on 5th Sep 2022.

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Parminder Kaur Bajaj

My current research on the impact of different systemic risk (SIR) measures on stock market Read More spillover within the APEC region aims to shed light on the intricate relationship between financial stability and market interconnections. By delving into the diverse SIR metrics and their effects on cross-border market transmission, this study strives to provide valuable insights that can aid policymakers, investors, and financial institutions in devising more informed risk management strategies. Ultimately, this research aspires to enhance our understanding of regional market dynamics and contribute to the development of more resilient and adaptive financial systems in the APEC economies.
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Parminder Kaur Bajaj

Hello Everyone, I am Dr. Parminder Kaur Bajaj. My are of research in Stock Market Volatility

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