Dr Neeraj Nautiyal
Biography
Dr. Neeraj Nautiyal holds a PhD, an MBA in Finance, and a Master of Commerce degree. He is also NET qualified and has over 20 years of experience in academia and industry. His research interest includes, international economics, financial economics, capital & commodity markets, green finance etc. with numerous papers published in high ranked & high-impact journals such as Resources policy, IREF, JOEM, Financial Innovation, Applied Economics, Economics Analysis and policy, etc. Dr. Nautiyal has held different leadership roles in various academic and administrative positions at various universities in India before joining Sohar University, Oman. His industry experience encompasses positions as senior credit risk officer in the field of banking.
Qualification
- Ph.D in Finance
Teaching Interest
- Corporate Finance
- Security Analysis and Portfolio Management Financial Derivatives
- Investment Banking
Research Interest
- Capital Market
- Economic Policy & Development
Publications
- Ur Rehman, M., Nautiyal, N., Zeitun, R., Vo, X. V., & Alessa, N. (2025). Risk transmission and returns dependence between oil and socially responsible funds? Applied Economics, 1-20.
- Rehman, M. U., Nautiyal, N., Vo, X. V. (2025). Is It Just Green? Asymmetry Behavior of Returns in Green Investments. International Review of Economics and Finance.
- Rehman, M. U., Nautiyal, N., Zeitun, R., Vo, X. V., & Ghardallou, W. (2025). The resilience of green bonds to oil shocks during extreme events. Journal of Environmental Management, 378, 124685.
- Rehman, M. U., Zeitun, R., Nautiyal, N., Vo, X. V., & Kang, S. H. (2025). How do US sectoral markets connect in calm and crisis? A quantile-based network analysis. Applied Economics, 1-24.
- Rehman, M. U., Nautiyal, N., Zeitun, R., & Vo, X. V. (2025). The temporal variability in the returns of socially responsible funds to structural oil shocks. The North American Journal of Economics and Finance, 102366.
- Nautiyal, N., Alrababa’a, A. R., Rehman, M. U., Vo, X. V., & Al-Faryan, M. A. S. (2024). Portfolio risk and return between energy and non-energy stocks. Heliyon, 10(10).
- Rehman, M. U., Nautiyal, N., Zeitun, R., Vo, X. V., & Ghardallou, W. (2024). Unraveling the multiscale comovement of green bonds and structural shocks: An oil-driven analysis. The North American Journal of Economics and Finance, 72 102122.
- Rehman, M. U., Nautiyal, N., Vo, X. V., Ghardallou, W., & Kang, S. H. (2023). Is the impact of oil shocks more pronounced during extreme market conditions? Resources Policy, 85, 103899.
- Rehman, M. U., Nautiyal, N., Ghardallou, W., Vo, X. V., & Zeitun, R. (2023). Comovement and spillover among energy markets: A Comparison across different crisis periods. Economic Analysis and Policy.
- Saeed, T., Nautiyal, N., Rehman, M. U., Alsulami, H. H., & Alhothuali, M. S. (2023). Do gulf stock markets share time varying connectedness? Applied Economics, 55(48), 5700-5718.
- Nautiyal, N., Belwal, S., Belwal, R. (2022). Assessment, interaction and the transmission process of Twin deficit Hypothesis: Fresh evidence from India. Business Perspective and Research, online first.
- Pandey, J. Kandpal, V. Nautiyal, N. (2021). An Analysis of Abnormal Returns Associated with Stock Split. The Singapore Economic Review, 1-14.
- Jasuja, D., Nautiyal, N. (2021). A Comparative Performance Analysis of Sustainability Themed Indices in India: Markov Regime Switching Approach. FIIB Business Review, 23197145211052 805
- Jasuja D., Nautiyal, N. (2021). Understanding Socially Responsible Investing – A Scientific Mapping and Bibliometric Analysis. International Journal of Sustainable Economy, 14(1).
- Nautiyal, N. & Kandpal, V. (2021). Nonlinearity between Economic indicators and Indian Capital Market. FIIB Business Review, 9(3), 228-236.
- Nautiyal, N. (2020). Dynamic co-movements across forex, gold, crude oil and Indian equity market. Journal of Public Affairs, 20(3).
- Nautiyal, N. (2019). Linkage between Exchange rate and Stock Price: Symmetric and Asymmetric Cointegration. SCMS Journal of Management, 16(3), 5-16.
- Nautiyal, N., Kavidayal, P.C. (2018). Analysis of Institutional Factors Affecting Share Prices: The case of National Stock Exchange. Global Business Review, 19(3), 707-721.
- Nautiyal, N., Kavidayal, P.C. (2018). A VECM Approach to Explain Dynamic Alliance between Stock Markets. Indian Journal of Finance, 12(11), 49-64
- Nautiyal, N., Kavidayal, P.C. (2016). Financial Development and Economic Growth: Time Series Analysis from India. International Journal of Money, Banking and Finance, 5(1),4-9,
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