Vol 2, No 9 (2008)

Table of Contents

Vol 2, No 9 (2008)

Articles

An Empirical Study on Forex Risk Management Strategies
Mihir Dash, Narendra Babu, Mahesh Kodagi, Vivekanand B. Y.
 Vol 2, No 9 (2008), Pagination: 3-11
ABSTRACT | Abstract Views: 175  |  PDF Views: 0
Coorelation Based Clutering of Stocks Traded in NSE
S. Sampath, R. Senthil Kumar
 Vol 2, No 9 (2008), Pagination: 12-19
ABSTRACT | Abstract Views: 171  |  PDF Views: 0
The Association Between Market Liquidity at the Scrip Level and Accounting Variables: The Indian Evidence
Som Sankar Sen, Santanu Kr. Ghosh
 Vol 2, No 9 (2008), Pagination: 20-31
ABSTRACT | Abstract Views: 161  |  PDF Views: 0
Applicability of Sharpe's Single Index Model in Indian Security Model
Sushil Kumar Mehta, M. S. Turan
 Vol 2, No 9 (2008), Pagination: 32-38
ABSTRACT | Abstract Views: 172  |  PDF Views: 0