Gaurav Singh Chauhan

Gaurav Singh Chauhan
/संकाय/Gaurav Singh Chauhan
Gaurav Singh Chauhan
Gaurav Singh Chauhan
gaurav@iimnagpur.ac.in
Area Academic Affiliation Qualification
Finance and accounting Full Time Faculty
  • Overview
  • Research & Publications
  • Teaching
  • Training and Consulting
  • Administration

Prof Gaurav Singh Chauhan is a faculty member in the Finance and Accounting area at IIM Nagpur. Prior to joining IIMN, he has worked as Professor at IIM Indore where he taught a number of courses at the doctoral and postgraduate level. In addition, he has taught a number of executive education and management development programmes. A Certified Chartered Financial Analyst (CFA Institute, USA) and Certified Financial Risk Manager (FRM) (Global Association of Risk Professionals, USA), Prof Chauhan has also worked with Indian Oil Corporation Ltd. His research and teaching interests are in the fields of corporate finance and portfolio investments.

 

Journal Articles

  • Chauhan, G.S. (2020). Working Capital Dynamics. Australian Journal of Management, Forthcoming, Sage publishing.
  • Chauhan, G.S. (2019). Are Working Capital Decisions Truly Short-term in Nature? Journal of Business Research, Vol. 99, pp. 238-253, Elsevier publishing.
  • Chauhan, G.S. (2019). Performance Attribution of Mutual Funds in India: Outperformance or Misrepresentation? Accounting and Finance, Vol. 59, pp. 383-409, Wiley publishing.
  • Chauhan, G.S. and Banerjee, P. (2019). Mean Reversion in Corporate Leverage: Evidence from India. Managerial Finance, Vol. 45, pp. 1183-1198, Emerald publishing.
  • Chauhan, G. S. and Huseynov, F. (2018). Corporate Financing and Target Behavior: New Tests and Evidence. Journal of Corporate Finance, Vol. 48, pp. 840-856, Elsevier publishing.
  • Chauhan, G.S. and Banerjee, P. (2018). Financial constraints and optimal working capital – evidence from an emerging market. International Journal of Managerial Finance, Vol. 14, pp.37-53, Emerald publishing.
  • Chauhan, G.S. (2017). Corporate Financing and Deleveraging of Firms in India. IIM B Management Review, Vol. 29, pp. 170-187, Elsevier publishing.
  • Chauhan, G.S. (2016). Reconciling Theory and Evidence for Corporate Financing in India. Journal of Emerging Market Finance, Vol. 15, No.3, pp. 295-309, Sage publishing.
  • Chauhan, G. S. and Sundaram S. S. (2016). Subordinate Debt, Deposit Insurance and Market-Oriented Monitoring of Banks. IIM B Management Review, Vol. 28, pp. 136-146, Elsevier publishing.
  • Chauhan, G.S. and Banerjee, P. (2015). Revisiting the Project Evaluation and Decision Making. Journal of International Business Education, Vol. 10, No. 1, pp. 291-320, Neilson Publishing UK.

Management Cases

  • Chauhan, G.S. (2018). Tata Equity P/E Mutual Fund: Performance Measurement and Attribution. Ivey Publishing, Richard Ivey Business School, Canada (includes teaching note). Product No. Ivey-9B18N025.
  • Chauhan, G.S. and Tomer, G. (2016). Amtek Auto Ltd.: From Acquisitions to Financial Crisis. Ivey Publishing, Richard Ivey Business School, Canada (includes teaching note). Product No. Ivey-9B16N012.
  • Chauhan, G.S. and Tomer, G. (2016). NTPC-SAIL Power Company Limited (NSPCL): Born or Bound to Succeed? Asian Journal of Management Cases, Vol. 14, No. 1, pp. 13-24 (includes teaching note).
  • Chauhan, G.S. and Banerjee, P. (2015). Plethico Pharmaceuticals Ltd.: The Flip Side of Convertible Financing. Journal of International Business Education, Vol. 10, No. 1, pp. 337-352, Neilson Publishing UK. (includes teaching note). Sequel of the case study titled “Plethico Pharmaceutical Ltd.: Financing through Convertibles (2013)”.
  • Chauhan, G.S. and Banerjee, P. (2015) Aqua Logistics Ltd.: An Attractive Target for Acquisition. Ivey Publishing, Richard Ivey Business School, Canada (includes teaching note). Product No. Ivey- 9B15N020.
  • Chauhan, G.S. (2013). Plethico Pharmaceutical Ltd.: Financing through Convertibles. Registered with IIM Indore-No. CASE/01/014/FA. (includes teaching note)

Conference Papers

  • Chauhan, G.S., 2019. Are Higher Working Capital Allocations Necessarily Value Destructive?
    Presented at JAAF (Journal of Accounting, Auditing and Finance) Symposium 2019 held at ISB
    Hyderabad between 7-9 January 2019.
  • Chauhan, G.S., 2018. Performance Attribution of Mutual Funds in India: Outperformance or Misrepresentation? Accepted for presentation at India Finance Conference held at IIM Calcutta between 20-22 December 2018.
  • Chauhan, G.S. and Banerjee, P., 2017. Working Capital Management and Target Following: Evidence from India. Accepted for presentation at the 26th European Financial Management Association (EFMA) conference held at Athens, Greece between June 28- July 1, 2017.
  • Chauhan, G.S. and Banerjee, P., 2016. Do Indian Firms follow Optimal Working Capital Targets? Presented at International Conference on Financial Markets and Corporate Finance (ICFMCF 2016) held at IIT Madras between 12-13 August 2016.
  • Chauhan, G.S., 2015. Deleveraging of Firms in India: Causes and Consequences. Presented at Indian Academy of Management (IAM) conference held at IIM Lucknow campus in Noida between 11-13 December 2015.
  • Chauhan, G.S., 2014. Are Firms Capital Constrained? Evidence from Corporate Financing in India. Presented at World Finance Conference held in Venice in July 2014.
  • Chauhan, G. S. and Sundaram S. S., (2011). Delegated Monitoring by Subordinate Debt in the Presence of Deposit Insurance. Presented at the International Conference on Banking and Finance Perspective, Apr 2011, held in Famagusta, North Cyprus.
  • Chauhan, G.S., (2010). Subordinate debt, Deposit Insurance and Systemic Risk. Presented at the 10th International Consortium of Students in Management Research (COSMAR-2010) held at IISc, Bangalore in November 2010.
  • Chauhan, G.S., (2010). Interplay Between Deposit Insurance and Subordinate Debt in Banking System Stability. Research proposal presented at 4th Doctoral Colloquium held at IIM, Ahmedabad in January 2011.
  • Chauhan, G. S. (2009). Dynamics of Financial Regulation. Presented at Research Advances and Trends: Postgraduate Conference and Colloquium, Dec 2009, held in Kualalampur, Malaysia.

Previous Institution:

  • Doctoral level: Foundations in corporate finance theory
  • Postgraduate and executive education level: Corporate finance; Investment Analysis and Portfolio Management; Options, Futures and Other Derivatives; Financial Statement Analysis

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