Mr. A.  Sulthan
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Mr. A. Sulthan

Research scholar
Jamal Institute of Management, India


Highest Degree
Ph.D. Student in Management from Bharathidasan University, India

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Biography

Sulthan.A, is a research sholar at Jamal Insitute of managemnt which is affliated to Bharathidasan University. He has over 25 papers published in prrer reviwed internatinal and national Journlas.He is an associate editor in DOAJ. He is currently pursuing his Ph.D with the broad topic of application of Information theory in Securioty analysis and portfolio management. Sulthan is expertise in using statistical and mathematical softwares like IBM SPSS, IBM AMOS, Systat, R, MAPLE and more.

Area of Interest:

Business Management and Accounting
100%
Financial Economics
62%
Multivariate Analysis
90%
Econometrics
75%
Stock Market
55%

Research Publications in Numbers

Books
0
Chapters
0
Articles
28
Abstracts
0

Selected Publications

  1. Jayakumar, G.S.D.S. and A. Sulthan, 2017. On the exact distribution of andrew-pregibon (AP) statistic and identification of influential observations. Int. J. Eng. Future Technol., 14: 57-77.
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  2. Jayakumar, G.S.D.S. and A. Sulthan, 2016. Modelling non - normality and consistency of returns distribution of major industries in BSE. Rajagiri Manage. J., 10: 3-28.
  3. Jayakumar, G.S.D.S. and A. Sulthan, 2016. An alternative distribution of internal studentized residual and identification of outliers through evidence plots. RMUTT J. 6: 115-138.
  4. Jayakumar, G.S.D.S. and A. Sulthan and W. Samuel, 2016. A co-integration analysis of market indices with special reference to asian countries in g20. IJMBF., Vol. 5.No. 2. .
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  5. Jayakumar, G.D.S., J.T. Bejoy and A. Sulthan, 2016. A novel two-way clustering based on multivariate outlier detection. Int. J. Stat. Econ., 17: 20-37.
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  6. Jayakumar, G.D.S and A. Sulthan, 2016. Modelling the effect of Foreign Institutional Investment in major Indian Industries with special reference to BSE. SCMS J. Indian Manage., 2016: 91-103.
  7. Jayakumar, G.D.S and A. Sulthan, 2016. Modeling the extreme events of the top industrial returns in BSE. Int. J. Manage., 7: 341-353.
  8. Jayakumar, G.D.S and A. Sulthan, 2016. Hadi’s Influence Measure and Identification of Re- gression clusters based on potential outliers. Int. J. Stat. Econ., 17: 59-72.
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  9. Jayakumar, G.S.D. and A. Sulthan, 2015. Modeling the random walk hypothesis for select industries listed in BSE. Int. J. Manage., 6: 527-535.
  10. Jayakumar, G.D.S., 2015. Exact distribution of cook's distance and identification of influential observations. Hacettepe J. Math. Stat., 44: 165-178.
  11. Jayakumar, G.D.S and A. Sulthan, 2015. Exact sampling distribution of sample coefficient of variation. J. Reliab. Stat. Stud., 8: 39-50.
  12. Jayakumar, G.D.S and A. Sulthan, 2015. A Non-Student distribution of jack knife residuals and identification of outliers. J. Reliab. Stat. Stud., 8: 77-96.
  13. Jayakumar, D.S. and A. Sulthan, 2015. A new procedure of regression clustering based on cook's D. Electron. J. Applied Stat. Anal., 8: 13-27.
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  14. Jayakumar, G.S.D.S and A. Sulthan, 2014. Heteroscedasticity in survey data and model selection based on weighted schwarz-bayesian information criterion. heteroscedas- ticity in survey data and model selection based on weighted schwarz bayesian information criteria. Electron. J. Appl. Stat. Anal., 7: 199-217.
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  15. Jayakumar, G.S.D., A. Solairaju and A. Sulthan, 2014. A new form of sam-solai's multivariate generalized normal distribution. Res. Rev. J. Stat., 3: 33-43.
  16. Jayakumar, G.S.D., 2014. A new form of sampling distribution of bi-variate sample correlation co-efficient. J. Stat. Manage., 17: 235-249.
  17. Jayakumar, G.S.D. and A. Sulthan, 2014. Modelling: Employee perception on training and development. SCMS J. Indian Manage., 11: 57-70.
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  18. Jayakumar, G.S.D. and A. Sulthan, 2014. Identification of multicollinearity and it's effect in model selection. Electron. J. Applied Stat. Anal., 7: 153-179.
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  19. Jayakumar, G.D.S., A. Solairaju and A. Sulthan, 2014. A multivariate generalized double exponential family of distribution of kind-1. J. Stat. Manage. Syst., 17: 445-478.
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  20. Jayakumar, G.D.S and A. Sulthan, 2014. Exact distribution of hat values and identification of leverage points. J. Reliab. Stat Stud., 7: 61-78.
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  21. Jayakumar, G.S.D.S and A. Sulthan, 2013. Stress symptoms: Structural equation modelling. SCMS J. Indian Manage., 10: 95-109.
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  22. Jayakumar, G.S.D., A. Solairaju and A. Sulthan, 2013. A new generalisation of sam-solai's multivariate hyperbolic secant distribution. Math. Sci. Res. J., 17: 300-342.
  23. Jayakumar, G.S.D., A. Solairaju and A. Sulthan, 2013. A new generalisation of sam-solai's multivariate additive gamma distribution. Math. Sci. Res. J., 17: 39-52.
  24. Jayakumar, G.S.D., A. Solairaju and A. Sulthan, 2013. A new generalisation of sam-solai's multivariate additive f-distribution of kind-2. Res. J. Pure Algebra, 3: 83-94.
  25. Jayakumar, G.S.D., A. Solairaju and A. Sulthan, 2013. A new generalisation of sam-solai's multivariate additive chi-square distribution. Math. Sci. Res. J., 17: 136-149.
  26. Jayakumar, G.S.D. and A. Sulthan, 2013. Modelling the selection of returns distribution of G7 countries. Res. J. Manage. Sci., 2: 1-15.
  27. Jayakumar, G.S.D. and A. Sulthan, 2013. Heteroscedasticity in survey data and model selection based on weighted hannan-quinn information criterion. J. Reliability Stat. Stud., 6: 17-40.
  28. Jayakumar, D.S.G. and A. Sulthan, 2013. Testing the weak form efficiency of Indian stock market with special reference to NSE. Adv. Manage., 6: 18-26.
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