Vol 9, No 8 (2015)

Table of Contents

Vol 9, No 8 (2015)

Articles

An Empirical Model of India's Nifty VIX Index
Ronald T. Slivka, Shuang Gao, Jie Ren
DOI:10.17010/ijf/2015/v9i8/74559 ,  Vol 9, No 8 (2015), Pagination: 7-18
ABSTRACT | Abstract Views: 202  |  PDF Views: 0
A Test of Alternative Value-at-Risk Models During Volatile Periods
Aparna Prasad Bhat
DOI:10.17010/ijf/2015/v9i8/74560 ,  Vol 9, No 8 (2015), Pagination: 19-33
ABSTRACT | Abstract Views: 205  |  PDF Views: 0
Currency Risk Management Practices of Indian Export SMEs: A Descriptive Study
S. Vasumathy
DOI:10.17010/ijf/2015/v9i8/74561 ,  Vol 9, No 8 (2015), Pagination: 34-44
ABSTRACT | Abstract Views: 205  |  PDF Views: 0
Modelling Dynamic Volatility Spillovers from the U.S. to the BRIC Countries' Stock Markets During the Subprime Crisis
Amanjot Singh, Parneet Kaur
DOI:10.17010/ijf/2015/v9i8/74562 ,  Vol 9, No 8 (2015), Pagination: 45-55
ABSTRACT | Abstract Views: 191  |  PDF Views: 0