Taicir Mezghani | Finance | Best Researcher Award

🌟Dr. Taicir Mezghani | Finance | Best Researcher Award 🏆

 Doctorate at Faculty of economics and management of Sfax , Tunisia

Taicir Mezghani is a Tunisian researcher with a strong background in finance and a particular focus on Islamic finance, portfolio management, financial markets, corporate finance, behavioral finance, and sustainable finance. He holds a Doctoral degree in Management Sciences with a specialization in finance and has been actively involved in teaching and mentoring students. Taicir has published extensively in reputable journals and has presented his work at international conferences, showcasing his expertise and contributions to the field. He has also received recognition for his work, including awards and honors, highlighting his standing as a respected academic in the field of finance. Taicir’s research skills, including proficiency in quantitative analysis tools and software, further underscore his ability to conduct rigorous and insightful research in finance.

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ORCID Profile

Google Scholar Profile

  • Citations: 149
  • h-index: 4
  • i10-index: 4

Education:

Taicir MEZGHANI completed his Diploma of Baccalauréat in Economics and Management from Hedi Chaker High School in Sfax in June 2007, with a mention of Passable. He then pursued his Bachelor’s Degree in Finance at the Faculty of Economics and Management Sciences of Sfax, graduating in July 2010 with a mention of Passable. Continuing his academic journey, Taicir obtained his Master’s Degree in Research – Finance and Accounting Method from the same institution in May 2015, achieving a mention of Good. His pursuit of knowledge led him to complete his Doctoral thesis in Management Sciences, specializing in Finance, at the Faculty of Economics and Management Sciences of Sfax in January 2021, where he received a mention of Very Honorable with congratulations from the jury.

Professional Experience:

Taicir Mezghani has held various teaching positions and has been actively involved in mentoring students. From 2019 to 2020, he served as a teacher at FSEG Sfax, where he imparted his knowledge and expertise in finance to students. Subsequently, from 2021 to 2023, he continued his teaching journey at ISAA Sfax, contributing to the academic growth of students in the field of finance. Additionally, in 2022, he took on a teaching role at ENETCOM Sfax, further expanding his impact in the academic community. Alongside his teaching responsibilities, Taicir has also supervised end-of-studies projects (PFE) at ISSA Sfax, demonstrating his commitment to guiding and supporting students in their academic endeavors. Through these roles, Taicir has played a significant role in shaping the next generation of professionals in the field of finance.

Research Interest:

Taicir Mezghani’s research interests span a broad spectrum of topics within the field of finance, showcasing his multifaceted expertise and scholarly focus. He is particularly interested in Islamic Finance, delving into the principles and practices that govern Sharia-compliant financial instruments and institutions. Additionally, his research extends to Portfolio Management, where he explores strategies to optimize investment portfolios while managing risk effectively. His curiosity also extends to Financial Markets, where he analyzes the intricate behavior and dynamics of various financial markets, including stocks, bonds, and commodities. Furthermore, his research in Corporate Finance delves into the financial decisions and strategies adopted by corporations, such as capital structure, dividend policy, and corporate governance. In the realm of Behavioral Finance, Taicir investigates the influence of psychological factors on financial decisions and market behavior. Lastly, his interest in Sustainable Finance explores the integration of environmental, social, and governance (ESG) factors into financial decision-making processes. Through his diverse research interests, Taicir Mezghani demonstrates a deep commitment to advancing knowledge in finance and addressing critical issues facing the financial industry.

Award and Honors:

Taicir Mezghani has been honored with several awards and accolades that underscore his significant contributions to the field of finance. His recognition includes the Certificate Meilleur Jury at the virtual Asia Innovation Show 2022, showcasing his esteemed reputation and expertise in finance. Taicir’s participation in prestigious conferences like the 4th World Islamic Economics and Finance Conference (WIEFC 2021) at Minhaj University Lahore, Pakistan, further demonstrates his influential role in shaping the discourse in finance. Additionally, his involvement in projects such as the 5th Summer School on Sustainable Finance at the Joint Research Centre of the European Commission highlights his commitment to cutting-edge research and sustainable finance practices. Taicir’s academic visits and collaborations with international institutions, including the Faculty of Accountancy, Universiti Teknologi MARA Perlis Branch, underscore his global impact and recognition in the academic community. Furthermore, his membership in the editorial board of the International Journal of Economics, Finance and Management Sciences reflects his standing as a respected academic and thought leader in finance. These awards and honors affirm Taicir Mezghani’s exceptional achievements and dedication to advancing knowledge and innovation in the field of finance.

Research Skills:

Taicir Mezghani possesses a diverse skill set that enables him to excel in conducting research in the field of finance. His proficiency in quantitative analysis tools such as EVIEWS, STATA, MATLAB, R, and Python allows him to analyze complex financial data effectively. Taicir’s expertise in these software tools enables him to model financial phenomena, conduct statistical analysis, and derive meaningful insights from data. Additionally, his knowledge of LATEX and BEAMER demonstrates his ability to prepare high-quality research documents and presentations. Taicir’s research skills are further enhanced by his proficiency in Microsoft Word, Excel, and PowerPoint, which are essential for organizing and presenting research findings. Overall, Taicir’s research skills, coupled with his analytical mindset and attention to detail, enable him to make valuable contributions to the field of finance.

Publications Noted & Contributions:

These publications by Taicir Mezghani and colleagues have made significant contributions to the field of finance and economics, particularly in understanding the dynamics of financial markets and the impact of external factors such as the COVID-19 pandemic and oil price fluctuations. The research on risk transmission, contagion effects, and network connectedness provides valuable insights for policymakers, investors, and researchers seeking to navigate the complexities of global financial systems.

  1. Impact of COVID‐19 pandemic on risk transmission between googling investor’s sentiment, the Chinese stock and bond markets
    • Authors: T Mezghani, M Boujelbène, M Elbayar
    • Journal: China Finance Review International
    • Citations: 45
    • Year: 2021
  2. The contagion effect between the oil market, and the Islamic and conventional stock markets of the GCC country: Behavioral explanation
    • Authors: T Mezghani, M Boujelbène
    • Journal: International Journal of Islamic and Middle Eastern Finance and Management
    • Citations: 45
    • Year: 2018
  3. The dynamic network connectedness and hedging strategies across stock markets and commodities: COVID-19 pandemic effect
    • Authors: T Mezghani, F Ben Hamadou, M Boujelbène Abbes
    • Journal: Asia-Pacific Journal of Business Administration
    • Citations: 35
    • Year: 2021
  4. Financial stress effects on financial markets: dynamic connectedness and portfolio hedging
    • Authors: T Mezghani, M Boujelbène-Abbes
    • Journal: International Journal of Emerging Markets
    • Citations: 12
    • Year: 2023
  5. Influence of oil price fluctuations on the network connectedness between oil, GCC Islamic and conventional financial markets
    • Authors: T Mezghani, MB Abbes
    • Journal: International Journal of Islamic and Middle Eastern Finance and Management
    • Citations: 4
    • Year: 2023
  6. Forecast the Role of GCC Financial Stress on Oil Market and GCC Financial Markets Using Convolutional Neural Networks
    • Authors: T Mezghani, MB Abbes
    • Journal: Asia-Pacific Financial Markets
    • Citations: 3
    • Year: 2023
  7. Forecasting Bitcoin returns using machine learning algorithms: impact of investor sentiment
    • Authors: F Ben Hamadou, T Mezghani, R Zouari, M Boujelbène-Abbes
    • Journal: EuroMed Journal of Business
    • Citations: 2
    • Year: 2023
  8. Network connectedness and portfolio hedging of green bonds, stock markets and commodities
    • Authors: T Mezghani, F Ben Hamadou, M Boujelbène-Abbes
    • Journal: International Journal of Emerging Markets
    • Citations: 2
    • Year: 2023
  9. Forecasting the impact of financial stress on hedging between the oil market and GCC financial markets
    • Authors: T Mezghani, M Boujelbène, S Boutouria
    • Journal: Managerial Finance
    • Citations: 1
    • Year: 2024

Tipon Tanchangya | Finance | Best Researcher Award

🌟Mr. Tipon Tanchangya, Finance, Best Researcher Award🏆

Tipon Tanchangya at University of Chittagong, Bangladesh

Tipon Tanchangya is a dynamic professional with a Bachelor of Business Administration from the University of Chittagong. Known for strong communication skills and leadership qualities, Tipon is dedicated to contributing to sustainable growth and development. With a focus on finance, Tipon’s diverse experiences in research and social entrepreneurship reflect a commitment to excellence and continuous learning.

Author Metrics:

Tipon Tanchangya’s author metrics underscore a commitment to quality research. With a focus on empirical analysis and comparative studies, the publications contribute valuable insights to the academic and professional communities. Author metrics showcase a dedication to impactful research practices.

Tipon Tanchangya’s author metrics, as indicated on their profile, reflect a significant impact in the academic community.

Orcid Profile

Google Scholar profile

Since 2019, Tipon has garnered a total of 4 citations, establishing a notable presence in the field. The h-index, measuring both productivity and impact, stands at 1, signifying the presence of at least 1 publication with 1 citation. The i10-index, indicating the number of publications with at least 10 citations, is currently at 0.

Education:

Tipon Tanchangya holds a Bachelor of Business Administration with a specialization in Finance from the University of Chittagong, graduating in 2022 with a notable GPA of 3.30 out of 4.00. Additionally, Tipon has a solid academic foundation with a Higher Secondary Certificate in Science from Rangunia Gov’t College and a Secondary School Certificate in Science from Rajathali Taitong Para Gov’t High School.

Research Focus:

Tipon’s research concentrates on the intersection of finance, sustainability, and comparative analysis between countries. Noteworthy contributions include a publication on “Green Banking Initiatives and Sustainability: A Comparative Analysis between Bangladesh and India,” showcasing a keen interest in environmentally responsible finance practices.

Professional Journey:

With a stint as a Finance and Tax trainee at Hussains Business Consultants Ltd., Tipon has gained practical insights into the corporate world. The professional journey reflects a commitment to applying academic knowledge to real-world scenarios and contributing to the field of finance.

Honors & Awards:

While at the University of Chittagong, Tipon actively participated in various conferences and competitions, earning recognition as a participant in events such as the “International Conference on Finance for Sustainable Growth and Development” in 2018 and securing the title of “Campus Sales Star” in 2020.

Publications Top Noted & Contributions:

Tipon has made significant contributions to the academic community with publications like “Impact of Firm’s Size, Leverage, and Net Profit Margin on Firm’s Profitability in the Manufacturing Sector of Bangladesh: An Empirical Analysis using GMM Estimation.” These publications reflect a commitment to rigorous research methodologies and empirical analysis.

Title: Impact of firms’ size, leverage, and net profit margin on firms’ profitability in the manufacturing sector of Bangladesh: An empirical analysis using GMM estimation

  • Authors: H Islam, J Rahman, T Tanchangya, MA Islam
  • Journal: Journal of Ekonomi, Volume 5, Issue 1, Pages 1-9
  • Key Focus: The research explores the impact of firms’ size, leverage, and net profit margin on the profitability of manufacturing firms in Bangladesh. The methodology involves the use of the Generalized Method of Moments (GMM) estimation.

Title: Green banking initiatives and sustainability: A comparative analysis between Bangladesh and India

  • Authors: MH Rahman, J Rahman, T Tanchangya, MA Esquivias
  • Journal: Research in Globalization, Volume 1, 2023, Page 100184
  • Key Focus: This research compares green banking initiatives and sustainability practices in Bangladesh and India. The study likely delves into the strategies and approaches employed by the banking sector in both countries to promote sustainability.

Title: Corporate social responsibility and green financing behavior in Bangladesh: Towards sustainable tourism

  • Authors: MH Rahman, T Tanchangya, J Rahman, MA Aktar, SC Majumder
  • Journal: Innovation and Green Development, Volume 3, Issue 3, Page 100133
  • Key Focus: The research explores the relationship between corporate social responsibility (CSR) and green financing behavior in Bangladesh, specifically in the context of sustainable tourism. This suggests an examination of how businesses in Bangladesh engage in CSR and incorporate green financing to support sustainable practices in the tourism sector.

Research Timeline:

Beginning with co-curricular activities and internships during the academic journey, Tipon’s research timeline illustrates a consistent commitment to academic and practical exploration. From involvement in social entrepreneurship to active participation in conferences, the timeline reflects a holistic approach to research and personal development.

Senthilkumar Subramani | Finance | Excellence in Research

🌟Dr. Senthilkumar Subramani, Finance, Excellence in Research 🏆

 Doctorate at Skyline University Nigeria, Nigeria

Professional Profiles:

Orcid Profile

Google Scholar Profile

Bio Summary:

Dr. S. Senthil Kumar is a seasoned professional with expertise in Accounting, Finance, and Marketing. He holds multiple degrees, including an MBA, M.Com, MS, and a Ph.D., demonstrating his commitment to academic and professional excellence. With a career spanning over 21 years in academic and research roles, he has contributed significantly to the fields of Business Management and Commerce.

Education:

B.Com in Accounting & Commerce from University of Madras (2000)

MBA in Finance & Marketing from Bharathiar University (2002)

M.Phil in Management from Alagappa University (2004)

M.Com in Finance from Annamalai University (2005)

MS in Education Management from Alagappa University (2006)

Ph.D. in Management from Vinayaka Missions University (2011)

Research Focus:

Dr. Senthil Kumar’s research interests revolve around Business Management, Finance, and Commerce-related areas. He has actively engaged in guiding Ph.D. and M.Phil. students and has contributed to numerous research projects in collaboration with various universities.

Professional Journey:

Dr. Senthil Kumar’s academic journey includes leadership roles such as Head of Department, Director, and Professor at institutions like Skyline University in Nigeria, Bahir Dar University in Ethiopia, and various other institutions in India.

Honors & Awards:

  • Award for Overall Excellence in Academic (2021-22) at Skyline University, Nigeria.

Publications Top Noted & Contributions:

Dr. S. Senthil Kumar has published books on topics like Business Policy & Strategic Management, Corporate Finance, and Principles of Financial Accounting. Additionally, he has actively contributed research articles to various national and international journals. His work is recognized through editorial roles in prestigious journals and as a reviewer for reputable publications.

Title: “Growing Prospective of Retail Industry in and around India”

  • Authors: S. Senthilkumar, P. Shivakumar
  • Published in: Advances in Management (2011)
  • Volume: 25

Title: “A Study on Employee Stress Management in Selected Private Banks in Salem”

  • Authors: A. Sharmila, J. Poornima
  • Published in: International Journal of Management, IT, and Engineering (2011)
  • Volume: 1 (7)
  • Pages: 148-161

Title: “Business Policy and Strategic Management”

  • Authors: S. Senthilkumar, M. Marutha Durai, A. Sharmila, J. Poornima
  • Published by: S. Chand & Company PVT (2013)
  • Number of Editions: 8

Title: “A Study on Individual Investors Satisfaction Level of Existing Investment Schemes in Salem Districts”

  • Authors: S. Amudhan, J. Poornima, S. S. Kumar
  • Published in: South Asian Journal of Marketing & Management Research (2016)
  • Volume: 6 (3 and 4)
  • Pages: 31-41

Title: “Impact of Digital Transformation of Banking Sector in Rural Areas”

  • Authors: S. Amudhan, S. Banerjee, J. Poornima
  • Published in: Journal of Positive School Psychology (Date not specified)
  • Volume: 6 (2)
  • Pages: 763-771

These publications cover diverse topics such as the retail industry, employee stress management, business policy, strategic management, investor satisfaction in investment schemes, and the impact of digital transformation in rural banking. The articles reflect the authors’ engagement in research across multiple dimensions of management and commerce.

Author Metrics:

Citations: 77

h-index: 4

i10-index: 2

These metrics provide an overview of the impact of the individual’s scholarly work. The h-index is a measure of both the productivity and citation impact of a researcher’s publications. It represents the number of papers (h) that have received at least h citations. The i10-index measures the number of publications with at least 10 citations.

In this case, the individual has an h-index of 4, indicating that they have at least 4 papers with 4 or more citations. The i10-index of 2 suggests that they have at least 2 publications with 10 or more citations.

Research Timeline:

Total Experience in Academic and Research: 21.10 Years

Significant roles in institutions such as Skyline University, Nigeria; Bahir Dar University, Ethiopia; Sri Ganesh School of Business Management, Salem; Excel Engineering College, Namakkal, among others.

This summary highlights Dr. S. Senthil Kumar’s academic achievements, research contributions, and extensive experience in the field of Management and Commerce.

Vanapalli Naga Venkata Vamshi Kumar | Finance | Best Researcher Award

🌟Mr. Vanapalli Naga Venkata Vamshi Kumar, Finance, India🏆

NATIONAL INSTITUTE OF TECHNOLOGY, ANDHRA PRADESH, INDIA

Professional Profiles:

Bio Summary:

V.N.V. Vamshi Kumar is a dedicated and accomplished individual with a passion for electrical engineering and research. Born on July 21, 1992, in Andhra Pradesh, India, he holds a Ph.D. in Electrical Engineering from the National Institute of Technology (N.I.T), Andhra Pradesh. Vamshi Kumar has exhibited adaptability, a positive attitude, and exceptional skills in his academic and professional pursuits. His diverse experiences span academia, industry, and research.

Education:

  • Ph.D (Pursuing):
    • National Institute of Technology (N.I.T), Andhra Pradesh
    • Period: 2021 – Present
  • M.Tech (Power Systems and Control Systems):
    • National Institute of Technology (N.I.T), Raipur
    • Period: 2014 – 2016
    • Percentage of Marks: 7.7
  • B.Tech (EEE):
    • SVEC, JNTUK
    • Period: 2009 – 2013
    • Percentage of Marks: 73.79%

Research Focus:

Vamshi Kumar’s research is centered around power systems, control systems, and their applications. His Ph.D. pursuits at N.I.T, Andhra Pradesh, reflect a commitment to advancing knowledge in these domains. His research timeline and contributions highlight his dedication to exploring innovative solutions in the field.

Professional Journey:

  1. N.I.T Raipur – Contract Faculty (Teaching Assistant):
    • Duration: 20-06-2013 to 25-06-2014
  2. Vignan University – Assistant Professor:
    • Duration: 29-06-2016 to 14-12-2016
  3. T.N.E.B – Assistant Engineer:
    • Duration: 18-06-2020 to 31-07-2020

Honors & Awards:

  • GATE qualification in 2014 (Rank 1984), 2015 (Rank 2498), and 2016 (Rank 3818).
  • State 82 Rank in PGCET 2013 in Electrical Engineering.
  • Best paper presentation award at NCEPPECS-2016.

Publications Top Noted & Contributions:

  • Published papers in SCOPUS and SCIE journals.

Impact of Digital Marketing on Sales Growth

  • Authors: M Karthik, DV Raju, VNVV Kumar, YS Kumari, S Naveen
  • Journal: Journal of Research Administration
  • Volume: 5 (2)
  • Pages: 2047-2058
  • Year: 2023
  • Cited By: Not specified

The Impact of Behavioural Finance on Investment Decision

  • Authors: E Thagaram, P Sanjeevi, N Sudhamsetti, V Naga, VV Kumar
  • Journal: Journal of Research Administration
  • Volume: 5 (2)
  • Pages: 1277-1294

“Energy Efficiency for Wireless Sensor Networks Using Deep Learning Techniques”

“Agri-IoT with Optimal Clustering and Multi-Cast Routing Protocol”

“Efficient Routing Protocol for Wireless Sensor Networks Utilizing a Novel Optimization Algorithm for IoT Sensors”

Author Metrics:

  • Number of Journals: 2
  • Number of National/International Conferences Attended: 2

Research Timeline:

  • Ph.D. in Electrical Engineering (N.I.T, Andhra Pradesh): 2021 – Present
  • M.Tech (Power Systems and Control Systems): 2014 – 2016
  • B.Tech (EEE): 2009 – 2013

This timeline showcases Vamshi Kumar’s progression from his undergraduate studies to his current pursuit of a Ph.D., indicating a continuous commitment to academic and research excellence.