Faculty

Prof. Navneet Kaur
Assistant Professor, Finance, Chairperson (Training and Development): +91-712-2805-1110
nkaur@imtnag.ac.in
: 2805138 nkaur@imtnag.ac.in
Prof. Navneet is a Fellow of the Indian Institute of Management (IIM) Indore with a PG Degree in Commerce. Her dissertation has examined contemporary empirical issues on Risk Management and explored quantitative risk assessment models in the context of Indian Capital Markets. She is certified Financial Risk Manager (FRM).
Prior to joining IMT, She has worked with IIM Kashipur and National Institute of Bank Management.
Academic Biography
- FRM Qualified
- PhD / FPM (FINANCE & ACCOUNTING) from Indian Institute of Management (IIM) Indore
- B. COM. & M.COM. (FINANCE) from GNDU
- NET & JRF Qualified
Work Experience
- Consultant at Bhodik (Fintech Startup), March 2017- 31st Dec 2017
- National Institute of Bank Management (NIBM), March 2015- March 2017
- Indian Institute of Management Kashipur (IIM K), April 2012- Feb 2015
- Chandragupt Institute of Management (CIMP), Oct 2010 - March 2012
Teaching Interests
- Corporate Finance
- Financial Accounting
- Commercial Banking
- Micro-finance
Research Interests
- Banking Policy
- Microfinance
- Commercial Banking
- Regulation of Banking Sector
- Productivity of SME
- Risk Management
Research and Publications
Journal Publications
- Kaur Navneet (2017)Technical and scale efficiency analysis of small scale industries in India, with Kaur, P.(Under Review)
- Kaur Navneet (2017) what drives Innovation in Micro, Small, & Medium Enterprises? with Kaur, P. (Under Review)
- Kaur, Navneet. (2017) Earnings Management: A perspective, (Forthcoming, Journal of Management Research)
- Kaur, Navneet. (2016) Application of Multi Factor Risk Model for Estimating Value-at- Risk in Indian Stock Market, Indian Journal of Economics and Business, 15(1): 115-133
- Kaur, Navneet (2015) Approaches to Value-at- Risk (VaR), Vinimaya, XXXVI (3): 53-58
- Kaur, Navneet. (2013) Mean Variance vs. Mean VaR portfolio optimization, Published in Conference Proceedings.
- Kaur, Navneet. (2011) Share buyback: Indian experience, Indian Management Studies Journal, 15(1):129-143
- Kaur, Navneet. (2011) A Review of Backtesting Methods for evaluating Value-at-Risk, International Review of Business Research Papers, 2(4): 14-22
- Leverage ratio under Basel III, with Elizabeth James (Book Chapter ;coordinated by ASSOCHAM & NIBM, 2016)
Conference / Workshops
- Kaur, Navneet (2015) Earnings Management: Case of Public vs. Private Banks in India, 15th EBES Conference, Lisbon, January 8-10, 2015
- Kaur, Navneet. (2014) Mean Variance vs. Mean VaR portfolio optimization, Global Business Conference organised by Innovation Institute, Geneva, February 3-7, 2014
- Navneet Kaur & A. Kanagaraj (2012) Application of Multi Factor Risk Model for Estimating Value-at- Risk in Indian Stock Market (Poster Presentation), 11th OxMetrics User Conference organised by Timberlake Consultants, Washington DC, March 15-16, 2012
- Navneet Kaur (2011) Is Mean Value-at-Risk a Substitute or a Complement for Mean Variance in Risk Management? An Empirical Evidence from Emerging Markets , 2nd Finance and Corporate Governance Conference organized by La Trobe University, Australia, 28-29 April
- Navneet Kaur (2011) A Review of Backtesting Methods for evaluating Value-at-Risk, Asia-Pacific Business Research Conference organized by World Business Institute, Malaysia, 21-22 February
- Navneet Kaur (2009) Value at Risk for Indian Equity Market: An exploratory Study, Research Advances and Trends: Organised by Universiti Tun Abdul Razak, Malaysia and IIM Indore, Malaysia, 7-10 December
- Attended Quantitative Finance Workshop jointly conducted by Indira Gandhi Institute of Development Research (IGIDR), IIT Kanpur and Rensselaer Polytechnic Institute, USA, 17-20 December 2009
- Attended workshop on Reading and Understanding Financial Reports conducted by International Finance Corporation – World Bank Group, New Delhi, 24th November 2011
- Summer School: Attended summer school on Econometric Modelling conducted by Timberlake Consultants, Washington DC, 12-14 March 2012
- Attended workshop on Financial Modeling and Analytics conducted by IIT Madras, 5-9 November 2013