Samveg Patel, January 2025, 'Dividend Omissions and Dividend Cuts Behaviour: A Dynamic Random-Effect Probit Panel Regression Analysis' Managerial Finance (MF), B Category - ABDC, Scopus listed Journal. Vol. 51, No. 01, pp. 76-91.
Samveg Patel, October 2024, 'Calendar Anomalies: A Portfolio Approach' The Journal of Wealth Management (JWM), B Category - ABDC, Scopus listed Journal. Winter 2024, Vol. 27, No. 03, pp. 66-84.
Samveg Patel, Dan DiBartolomeo July 2024, 'Additive Determination of an Investor’s Risk Tolerance in Asset Allocation' The Journal of Investing (JOI), B Category - ABDC, Scopus listed Journal. Fall 2023, Vol. 33, No. 05, pp. 34-54.
Samveg Patel, July 2023, 'Trading Strategies using Technical Indicators: An Active Portfolio Management Approach' The Journal of Wealth Management (JWM), B Category - ABDC, Scopus listed Journal. Fall 2023, Vol. 26, No. 02, pp. 01-14.
Samveg Patel, July 2023, 'Stock Market Assessment: Invest Now or Later' The Journal of Investing (JOI), B Category - ABDC, Scopus listed Journal. Fall 2023, Vol. 32, No. 04 , pp. 01-12.
Ramesh Bhat, Samveg Patel, July 2022, 'Trade Credit and Bank Credit: Impact of Macroeconomic Policy Interventions' Economic and Political Weekly (EPW), B Category - ABDC, Scopus listed Journal. Vol. 57, No. 31, pp. 44-51.
Ramesh Bhat, I M Pandey, Samveg Patel, August 2021, 'Dividend Behaviour of Indian Companies post Macroeconomic Policy Shock' Economic and Political Weekly (EPW), B Category - ABDC, Scopus listed Journal. Vol. 56, No. 35, pp. 38-43.
Patel, Samveg A., May 2015, ‘ADRs and Underlying Stock Returns: Empirical Evidence from India’, A I & Society (Scopus Rating Q3), Springer Publication, Vol. 30, No. 2, pp. 299-310, DOI 10.1007/s00146-014-0551-x.
Patel, Samveg A., September 2014, ‘Settlement Cycle and Day of the Week Anomaly: Empirical Evidence from Indian Stock Market’, Decision – Indian Institute of management Calcutta, Vol. 41, No. 3, pp. 327-337, DOI 10.1007/s40622-014-0050-4.
Patel, Samveg A., July - December 2013, ‘Foreign Institutional Investment and Stock Market Returns - Evidence from Indian Capital Market’, IIMS (Indian Institute of Management Shillong) Journal of Management Science, Vol. 4, No. 2, pp. 143-151. DOI: 10.5958/j.0976-173X.4.2.011
Patel, Samveg A., January 2014, ‘Relationship between Spot and Future Market Return: A Case of S&P CNX Nifty’, BVIMR - Management Edge, Vol. 6, No. 1.
Patel, Samveg A., October - December 2013, ‘Dynamic Interdependence among Asian Equity Markets: Empirical Evidence from India’, Journal of Management Research, Vol. 13, No. 3, pp. 219-228.
Patel, Samveg A., September 2013 - March 2014, ‘Causal and Cointegration Analysis of Indian and Selected Asian Stock Markets’, Drishtikon: A Management Journal, Vol. 5, No. 1, pp. 37-52.
Patel, Samveg A., July - December 2013, ‘Gold As A Strategic Prophecy Against Inflation And Exchange Rate’, Business Perspective and Research, Vol. 11, No. 1, pp. 59-68.
Patel, Samveg A., January – June 2013, ‘Dynamic Linkages between Foreign Institutional Investment and Indian Stock Market’, Nirma University Journal of Business and Management Studies, Vol. 7, Nos. 3&4, pp. 53-67.
Patel, Samveg A., March 2013, ‘Dynamic Linkages of Developed Equity Markets with Indian Stock Market’, Vilakshan- XIMB Journal of Management, Vol. 10, No. 1, pp. 21-36.
Patel, Samveg A., January 2013, ‘Causal Relationship Between Stock Market Indices and Gold Price: Evidence from India’, The IUP Journal of Applied Finance, Vol. 19, No. 1, pp. 99-109.
Patel, Samveg A., August 2012, ‘The effect of Macroeconomic Determinants on the Performance of the Indian Stock Market’, NMIMS Management Review, Vol. 22, Special Issue, pp. 117-127.