PROFILE

Dr. Priya Malhotra is an Assistant Professor in the area of Finance at USME, DTU. She has an MBA and Ph.D. in Finance from the Faculty of Management Studies, University of Delhi (FMS, Delhi). She has qualified UGC-NET in Management. She has prior teaching experience in the Department of Commerce, Shri Ram College of Commerce (SRCC), University of Delhi. She also has a rich industry experience of more than 6 years and has been associated with ICICI Bank Ltd & Barclays Bank in the international private banking segment. She has published papers in various reputed international journals and conferences. Her areas of interest include international private wealth management, financial market structure and organizational issues, portfolio management, and financial modeling. Financial markets microstructures, financial asset pricing, systemic risk assessment and IT-led interventions in financial markets are her research interests. She has published her research work in various international journals of repute including Research in International Business and Finance (RIBAF, Elsevier & SSCi), Review of Managerial Science (SSCI), Benchmarking & IJPPM (SCOPUS&ABDC-B)

PREVIOUS POSITIONS/ EXPERIENCE

  • Assistant Manager, GENPACT LLC (GE Commercial Finance & GE Equity) - 2006-07
  • Manager, ICICI Bank Ltd. (International Banking Group) - 2007-2010
  • Senior Manager, Barclays Bank PLC (Premier Banking Group, NRI) - 2010-2012
  • Senior Manager, YES Bank Ltd (Global Indian Banking Group) - 2012 onwards
  • Assistant Professor, Shri Ram College of Commerce (SRCC), University of Delhi - 2015 - 2017
  • Assistant Professor, USME, Delhi Technological University - 2017 till date

TEACHING (COURSES TAUGHT)

Delhi Technological University

December 2017 till date 

Assistant Professor

  • Financial Management
  • Investment Management
  •  Security Analysis and Portfolio Management, 
  • Financial Markets and Institutions
  • Money & Financial Markets
  • Financial Economics
  • Time Series Analysis 
  • Introduction to R Package

Shri Ram College of Commerce (SRCC) University of Delhi 

July 2015 till December 2017

Assistant Professor

  • Forex Management
  • International Financial Management
  • Investing in stock markets
  • Financial Economics
  • Financial Literacy

MEMBERSHIPS

NASSCOM National Skills Registry

PUBLICATIONS

List of Publications:

  • Malhotra et al. (2025), “Dynamic Nexus of Clean Energy Metals, Energy Commodities and Traditional Assets: Multidimensional Techniques and Portfolio Analysis”. Research in International Business and Finance (RIBAF). Elsevier SSCI Q1 IF 6.9 SCOPUS Citescore 11.1 Journal.
  • Malhotra P (2025;), "Environmental, social and governance (ESG) investing and Indian capital market indices: dynamic connectedness and risk management strategies". Journal of Capital Markets Studies, Vol. ahead-of-print No. ahead-of-print. https://doi.org/10.1108/JCMS-12-2024-0096SCOPUS Indexed.
  • Jain, P. & Malhotra, P. Exploring the Connection between Environmental, Social and Governance (ESG) Disclosures and Dividend Policy: A Meta-Analytic Approach. Review of Managerial Science.  https://doi.org/10.1007/s11846-025-00927-5SSCI IF 9.6 SCOPUS Q1 Journal.
  • Jain, P. & Malhotra,P. Does National Economic Development (NED) Influence ESG on Corporate Performance? Evidence from the Global Cement Industry (Accepted). International Journal of Productivity and Performance ManagementABDC-B, Q1SCOPUS, ESCI IF 4.1
  • Jain, P. & Malhotra, P. Does ESG impact corporate performance in environmentally sensitive and non-sensitive industries? A dynamic panel approach. Benchmarking: An International Journal. https://doi.org/10.1108/BIJ-12-2024-1087.  ABDC-BQ1SCOPUS, ESCI, IF 5.1.
  • Malhotra, P. (2024). The Rise of Passive Investing: A Systematic Literature Review. Journal of Capital Market Studies. 8(1), 95-125. SCOPUS Indexed.
  • Malhotra, P., & Sinha, P. (2023). Exchange-traded Funds in India Amid COVID-19 Crisis: An Empirical Analysis of the Performance. Metamorphosis: A Journal of Management Research, 22(1), pp. 38-54. https://doi.org/10.1177/09726225221141180. UGC CARE-I.
  • Malhotra, P., & Sinha, P. (2022). Balanced Funds in India Amid COVID-19 Crisis: Spreader of Financial Contagion? IIM Kozhikode Society & Management Review https://doi.org/10.1177/22779752211050693SCOPUS, ABDC-C, ESCI IF 1.6.
  • Malhotra, P., & Sinha, P. (2022). Forecasting Fund Flows in Indian Equity Mutual Funds Market using Time Series Analysis: An Empirical Investigation. Journal of Business Thought, 12(1), pp. 1–17. https://doi.org/10.18311/jbt/2021/25970.  ABDC-C, UGC CARE-I.
  • Malhotra, P., & Sinha, P. (2021). Top-bottom investing skill and the fund alpha in Indian mutual fund industry: an empirical investigation. IIM Ranchi Journal of Management Studies, Vol 1, pp. 1-18 https://doi/10.1108/IRJMS-06-2021-001. UGC CARE-I.
  • Malhotra, P. (2022). Swing Pricing in Mutual Funds: Indian Evidence. Artha, E-Journal of IIM KolkataPriyaMalhotra.pdf (iimcal.ac.in)
  • The Samsung Saga: Success Story of Smartphone Giant, Academy of Asian Business Review, Vol 5, No.1, 2019, pp 81-99, ISSN: 2384-3454.
  • Priya Malhotra, Nishi M. (2017), “Financial Literacy & Investor Education: Issues to Wealth Management”, International Journal of Applied Business and Economics Research, Vol. 15, Issue 2, PP 51-61, Serial Publications Ltd. SCOPUS Indexed.

BOOKS/BOOK CHAPTERS (IF ANY)

PATENTS (IF ANY)

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SPONSORED/CONSULTANCY PROJECTS

START-UPS (IF ANY)

MOOC COURSES DEVELOPED (IF ANY)

PROFESSIONAL DEVELOPMENT

ADVISEES

ANY OTHER INFORMATION