Issue | Title | |
Vol 2, No 3 (2008) | Foreign Investment in India: Pain or Panacea? - A Study With Reference to BSE and NSE | Abstract |
Nidheesh K. B. | ||
Vol 9, No 1 (2015) | Foreign Portfolio Investment and Stock Market Volatility in India | Abstract |
Suddhasanta De, Tanupa Chakraborty | ||
Vol 8, No 12 (2014) | Forward Premium Anomaly and Risk Premiums in the Currency Markets: A Literature Review | Abstract |
Satish Kumar, Rajesh Pathak, Ranajee | ||
Vol 8, No 10 (2014) | Fourier Analysis of India's Implied Volatility Index | Abstract |
Ronald T. Slivka, Chun Ho Chang, Xueting Yu | ||
Vol 8, No 9 (2014) | Fundamental Analysis of the Banking Sector in India | Abstract |
P. Hanumantha Rao, Subhendu Dutta | ||
Vol 6, No 6 (2012) | Fundamental Factors Influencing Investments in Mutual Funds – The EIC Approach: A Case Study of RCAML | Abstract |
K. Viyyanna Rao, Nirmala Daita | ||
Vol 4, No 12 (2010) | Future Outlook of ATMs in India - Emerging Issues and Possible Solutions | Abstract |
R. K. Uppal | ||
Vol 2, No 5 (2008) | Futures Trading In Pulses, Benefits Whom? | Abstract |
T. Anuradha, Annie Kavitha, Mahitha Davala | ||
Vol 12, No 4 (2018) | GARCH - BEKK Approach to Volatility Behavior and Spillover : Evidence from India, China, Hong Kong, and Japan | Abstract |
Ashish Kumar, Swati Khanna | ||
Vol 14, No 8-9 (2020) | GARCH and TGARCH Approach to Information Linkages | Abstract |
Swati Khanna, Ashish Kumar | ||
Vol 5, No 8 (2011) | Glittering Facts of Gold | Abstract |
S. Shankari | ||
Vol 4, No 6 (2010) | Global Financial Crisis and Stock Return Volatility in India | Abstract |
P. K. Mishra, K. B. Das, B. B. Pradhan | ||
Vol 4, No 1 (2010) | Global Financial Crunch and India's Economic Growth: A Deep Insight | Abstract |
F. B. Singh, Ajay Pratap Yadav | ||
Vol 3, No 8 (2009) | Global Financial Meltdown and its Impact on the Indian Financial System | Abstract |
N. Maruti Rao, Iftikar M. Naikwadi | ||
Vol 10, No 9 (2016) | Globalizing the Board and Financial Performance : Evidence from Nigerian Banks | Abstract |
Uwuigbe Olubukunola, Uwuigbe Uwalomwa, O. Iyoha Francis, Omankhanlen Alex Ehimare | ||
Vol 10, No 5 (2016) | Gold as an Investment Option in India : Myth and Reality | Abstract |
Rajesh Panda, Madhvi Sethi | ||
Vol 2, No 1 (2008) | Gold Exchange Traded Fund (ETF) – A Bullish Investment Option | Abstract |
C. V. Ranjani | ||
Vol 13, No 8 (2019) | Google Search Volume and Stock Market Liquidity | Abstract |
Sumit Kumar Jha, Sharad Nath Bhattacharya, Mousumi Bhattacharya | ||
Vol 8, No 8 (2014) | Grading and Risk-Adjusted Performance of Indian IPOs | Abstract |
Harendra Singh, C. G. Sastry | ||
Vol 10, No 11 (2016) | Growth Measures and Stock Returns | Abstract |
Lalit Arora, Shailendra Kumar, Piyush Verma | ||
Vol 12, No 11 (2018) | GST in India : Performance of Companies After One - Year of Roll Out | Abstract |
Shalini Shukla, Ram Singh | ||
Vol 15, No 3 (2021) | Happiness Accounting : It's Time to Add Happiness to What We Measure | Abstract |
Rajesh K. Pillania | ||
Vol 5, No 7 (2011) | Harmonization Gap in Financial Reporting - A Descriptive Analysis | Abstract |
Sandeep Goel | ||
Vol 15, No 5-7 (2021) | Herding Behavior in the Indian Stock Market : An Empirical Study | Abstract |
Pooja Gupta, Bindya Kohli | ||
Vol 7, No 5 (2013) | Higher Grades, Better Performance: Debunking Myths Associated with IPOs | Abstract |
Shalini Trivedi, Bhavarth Sheth | ||
401 - 425 of 846 Items | First Previous 12 13 14 15 16 17 18 19 20 21 Next Last |
Browse Title Index
Scroll