Pankaj Kumar Baag
Associate Professor of Finance, Accounting & Control at Indian Institute of Management Kozhikode
Schools
- Indian Institute of Management Kozhikode
Links
Biography
Indian Institute of Management Kozhikode
Education
- Fellow (IIM Calcutta)
- MFM, M Com (Banking & Insurance), CAIIB, B.Sc(Physics Hons)
- PGD Banking, PGD Foreign Trade, PGD MM, PGD PM&IR
- Certificates in LC (Pace University, US), Certificate in OM & FA (Brunel University, UK), Certificate in Econometric Analysis (ICSSR)
Research Areas
- Credit Risk in Banks; Loan Covenants
- Financial Inclusion,
- Corporate Governance in Banks
- Oil & gas Accounting
Significant Publications
Book: Accounting for Management 2016 ABS Books publication by Vinay Kandpal, PC Kavidayal and Pankaj Baag
Book: Financial Institutions and Markets 2016 ABS Books Publication by Vinay Kandpal & Pankaj Baag
Book chapter: ‘Financial Inclusion and the Indian banks’ in the Book- ‘Financial Management: Contemporary Thoughts’ edited by Kumar & Singh, Research India Publications, Delhi, 2015.
Book Chapter:‘Expanding financial services access for the poor’ in the Book- ‘Financial Management: Contemporary Thoughts’ edited by Kumar & Singh, Research India Publications, Delhi, 2015
Book chapter: ‘Corporate Governance for Family Firms’ in the BOOK- ‘CORPORATE GOVERNANCE- MILLENNIUM CHALLENGES’ edited by Mishra & Jhunjhunwala, Excel publication, New Delhi, 2009.
Journal of Internet Banking and Commerce , Journal Articles, 2022
International Journal of Business and Economics , Journal Articles, 2021
The IUP Journal of Bank Management , Journal Articles, 2021
AIMS International Journal of Management , Journal Articles, 2021
International Journal of Business and Economics , Journal Articles, 2021
International Journal of Business and Economics , Journal Articles, 2022
IIMS Journal of Management Science , Journal Articles, 2022
Exploring the relation between Promoter?s Contribution and Resubmitted Approved Loan Proposal in the Indian banks at the loan inception stage , Working Paper, 2014
Predicting the probability of default Using asset correlation of a loan portfolio , Working Paper, 2014
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