Ms. Bishakha Sahu | Optimization in finance | Best Researcher Award
SRM Institute of Science and Technology, India
Professional Profile
Biography of Bishakha Rani Bhagwan Sahu π§βπ«
Early Academic Pursuits π
Bishakha Rani Bhagwan Sahu embarked on her academic journey with a profound interest in mathematics. She pursued her Bachelor of Science degree in Mathematics from SRM Institute of Science and Technology between 2016 and 2019, achieving an impressive CGPA of 8.66. Driven by her passion for the subject, she continued her studies at the same institute and earned a Master of Science degree in Mathematics with an outstanding CGPA of 9.37 in 2021.
Professional Endeavors π’
Since July 22, 2021, Bishakha has been dedicated to advancing her research as a Research Scholar in the Mathematics Department at SRM Institute of Science and Technology. Her role involves delving deep into complex mathematical problems, particularly in the field of optimization in finance.
Contributions and Research Focus π
Bishakha’s research primarily focuses on portfolio management, an essential aspect of financial markets. Her work is influenced by Markowitz’s modern portfolio theory, where she explores the Portfolio Selection Problem. She aims to identify optimal portfolios that balance risk and return, addressing the challenges posed by incomplete information through interval analysis. Her research efforts have resulted in two publications in SCI and SCIE indexed journals, four conference presentations, and a cumulative impact factor of 11.4 over the last three years.
Accolades and Recognition π
Bishakha’s scholarly contributions have been recognized with three citations indexed in Scopus, Web of Science, or PubMed. She has a notable h-index of 1, reflecting her impact in the research community. Although she has not yet received formal awards or recognitions, her work’s quality and significance speak volumes about her potential and dedication.
Impact and Influence π
Bishakha’s research in portfolio optimization is highly relevant to both academic and practical realms. Her exploration of portfolio management techniques helps investors make informed decisions by balancing risk and return, even under uncertain conditions. Her innovative approach to addressing real-world financial challenges through mathematical rigor sets her apart as a promising scholar in her field.
Legacy and Future Contributions π
As Bishakha continues her research, she aims to expand her contributions to the field of mathematics and finance. Her future endeavors include publishing more research papers, participating in international conferences, and collaborating with other experts to further enhance her work’s impact. She is also committed to mentoring upcoming researchers and contributing to the academic community’s growth.