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RITUPARNA DAS Associate Professor in Policy Science National Law University Jodhpur

MAILING ADDRESS
National Law University Jodhpur NH-65, Nagaur Road, PO Mandore, Rajasthan-342304, India

AREAS
Market Risk, Treasury Management, Derivatives, Asset Liability Management, Financial Economics, Econometrics

EDUCATION
2006 Ph.D. (Forecasting Money supply in India) National Law University Jodhpur MBA (First Class) Calcutta University M.Sc. (Economics, specialization in Econometrics and Statistics) Calcutta University B.Sc. (Economics Honours, Mathematics minor) Calcutta University NET (Economics) University Grants Commission

1999

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2000

SLET (Economics) West Bengal College Service Commission

SOFTWARES USED

2007 2005 - 2007 2007 2009 2011 - 2012

Analysis Tool Pak in Finance and Risk Measure Eviews in Econometrics Best Fit in Fitting and Simulation Derivagem in Option Valuation

FULL TIME TEACHING EXPERIENCES


20092007-2009 2001-2006 2000-2001 National Law University Jodhpur (NLU) National Institute of Bank Management (NIBM) National Law University Jodhpur (NLU) W B National University of Juridical Sciences Kolkata (NUJS)

VISITING
2000 Indian Institute of Materials Management, Kolkata 1999-2000 Indian Institute of Social Welfare and Business Management,Kolkata 1999-2000 Muralidhar Girls College, Kolkata 1999-2000 Hazi Desharat College, South 24 Paragana, West Bengal 1995-1998 S. A. Jaipuria College, Kolkata 1995-1996 Goenka College of Commerce and Business Administration, Kolkata 1994-95 Bidhannagar College, Saltlake City, Kolkata

BOOK CHAPTER AND BOOKS


Product VAR Modeling Chapter in The Risk of Investment Products - From Product Innovation to Risk Compliance, Michael C. S. Wong (Ed.), New Jersey: World Scientific Publishing (2011)

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Handbook of Fixed Income Securities Volume II: Monographs on Term Structure, Saarbrcken: Verlag Dr. Mller (2011) Handbook of Fixed Income Securities: Indian Banking Perspective, Saarbrcken: Verlag Dr. Mller (2010) Monetary History of India: Forecasting Perspective of Central Banks and Economists, Saarbrcken: Verlag Dr. Mller ( 2010) Research Methodology in Social Sciences and Management: Models on Indian Issues, Saarbrcken: Verlag Dr. Mller (2010) Handbook of Management Principles: MNC Perspective, Saarbrcken: Verlag Dr. Mller (2010)

ACADEMIC ARTICLES
Indian G-Sec Market II: Anatomy of Short Rates, Econometrics: Mathematical Methods and Programing ejournal, Volume 4 Issue 6. Forecasting Money Supply in India: Remaining Policy Issues, Monetary Economics ejournal,Vol 2, Issue 94. Econometric Models of Relationship among Money, Output and Prices, Monetary Economics ejournal, Volume 2, Issue 90. Determination of Money Supply in India: The Great Debate, Monetary Economics ejournal, Volume 2, Issue 89. Indian G-Sec Market: How the Term Structure Reacts to Monetary Policy, Emerging Markets Economies, Volume 2 Issue 103. Fixed Income Portfolio Management with Reference to Indian Banks, Risk Management ejournal, Volume 4 Issue 91. An Outline of the Existing Literature on Money Supply in India, Monetary Economics ejournal, Volume 2, Issue 88. Quality Control in Management Education, Education Law ejournal, Volume 2, Issue 19.

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TOP TEN DOWNLOADS FROM SOCIAL SCIENCE RESEARCH NETWORK


Managing the Risk of Non-performing Assets in the Indian Small Scale Industries, as of 13/3/2011. Estimation, Analysis and Projection of Indias GDP, as of 30/12/2010, joint paper with U R Daga and B Maheshwari Forecasting Money Supply in India the Remaining Policy Issues, as of 17/9/2010. Law and Economics of Fiscal Deficit in India - 1998-99 to 2004-05", as of 22/1/2010.

TEACHING MATERIALS
2004a b 2005a b 2001 2000 Foreign Exchange Trade Policy Foreign Exchange and Risk Management, first author Nature, Scope and Contents of Investment under WTO, first author Economics II: Law and Macroeconomics Economics I: Law and Microeconomics

NEWSPAPER

2004 2001

Economics of APMC Act. Business Standard, 15 November The Bogey of Chinese Imports. Financial Express, 5 October

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ACADEMIC PRESENTATIONS
12th Annual Conference on Money and Finance in the Indian Economy, 2010, at IGIDR (Indira Gandhi Institute of Development Research, Mumbai) 10-12 March, Workshop on Conflict Management, Policy and Peace Economics, 2004 at National Law University Jodhpur with cooperation of State University of New York at Binghamton, USA, Economists allied for arms Reduction (ECAAR) and International Centre for Conflict Prevention and Management affiliated to south Asian Studies, University of Sydney, 10 January. Conference on Domestic Violence, National Law University Jodhpur and Meera Sansthan 2004, February 29-March 1. 24th Rajasthan Economic Conference and National Seminar on Public Economics, Department of Ecnomics C.S.S.H., Mohanlal Sukhadia University Udaipur 2003, 17-19 January. Workshop on NPA and Prevention and Detection of Baking Frauds, Centre of Study in Banking and Finance, National law University Jodhpur 2003, January 4. Conference on Reform: Road to Good Governance and Sustainable Development conducted by Indian Council of Social Science Research and National Law University, Jodhpur 2006, February 18. Conference on Development, Democracy and Social Change conducted by All India Law Teachers Congress and National Law University Jodhpur 2006, January 29-30. Seminar on Recent Boom in Indian Stock Market, M. F. C. Association, Department of Business Finance and Economics, Jai Narayan Vyas University Jodhpur, 2005, December 18. How to Monitor the Quality of SSI Loan, Legal Department, Reserve Bank of India Mumbai, 2002, May 24.

TRAINING PROGRAMMES CONDUCTED FOR BANK OFFICERS

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Fixed Income in Excel Basics and Risk Analytics, January 22-24, 2010. Market Measure and Mitigation of Interest Rate Risk. December 1-5, 2008. Computing Skills in Market Risk Management; August 11-14, 2008. Computing Skills in Bond Analysis, July 21-25, 2008. Advanced Programme on Computing Skills in Risk Management. June 2-6, 2008. Computing Skills in Debt Market Analytics. May 5-9, 2008. Workshop on Bond Mathematics, March 17-19, 2008. Mastering Computing Skills in Risk Management, February 26-29, 2008. Risk Management in the Investment Portfolio, January 3-5, 2008.

LIST OF PG COURSES OFFERED


Risk Management and Derivatives Principles and Practices of Bank Management Financial Markets and Regulatory Systems Financial Management Project Finance Working Capital Management International Financial Management Management of Financial Services

LIFE MEMBER

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Indian Statistical Institute Indian Econometric Society Indian Economic Association Alumni, Indian Institute of Social Welfare and Business Management Ramakrishna Mission Institute of Culture

PROFESSIONAL ACTIVITIES
20102010 2012 2012 2011 2010 2011 2011 Reviewer, Journal of Financial Economic Policy ISSN 1757-6385 Editor, the launching issue of Journal on Governance, ISSN 0976 0369 Reviewer: International Journal of Emerging Markets ISSN 1746-8809 Executive Director, Centre of Risk Management and Derivatives, NLU Assistant Dean, Faculty of Policy Science, NLU Member, Research Board, Faculty of Management, NLU Member, Interdisciplinary Research Board, NLU Member, Academic Council, NLU

2009-2012 Additional Director, Centre for Studies in Banking and Finance, established by the Reserve Bank of India at NLU

ASSIGNMENTS
20102010-2012 2003 2001 Chairman, Sports Committee, NLU Chief Proctor, NLU Nodal Officer of the Statistical Cell, NLU In-Charge of Boys Hostel, NUJS

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PERSONAL
Citizenship Full Time Experience Website Indian 12+ years from February 2000 till present http://rituparnodas.blogspot.com

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