Prof. Vivek Rajvanshi

Prof. Vivek Rajvanshi has been Professor of Finance and Control at the IIM Calcutta since 2015. He holds an M.Sc. in Statistics and a PhD (Fellow Programme in Management) from IIM Calcutta.

His areas of expertise include corporate finance, fixed-income markets, investment analysis and portfolio management, and derivatives and risk management for BFSI institutions. His research and consulting interests focus on financial market regulation, market microstructure, volatility forecasting, institutional investor behaviour and commodity and equity markets.

Over the years, he has contributed extensively to academic research through several publications in reputable journals and international conference presentations, with research spanning high-frequency trading, market sentiment analysis, commodity futures, IPO under-pricing and trading dynamics in emerging markets.