Browse Title Index


 
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
 
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