Issue | Title | |
Vol 7, No 1 (2013) | Investors' Perception About Mutual Funds in India: An Empirical Study | Abstract |
Rajesh Kumar, R. S. Arora | ||
Vol 4, No 7 (2010) | Investors' Preference Towards Financial Investments -Some Survey Evidence | Abstract |
R. Dhivya, C. Sekar | ||
Vol 5, No 11 (2011) | Investors’ Perception Towards Capital Market – An Empirical Study With Reference to Sivakasi, Tamil Nadu | Abstract |
T. Palaneeswari, J. Kaleeswari | ||
Vol 6, No 2 (2012) | IPO Volatility in Indian Markets | Abstract |
Yash Bansal, Anand N. Desai | ||
Vol 2, No 6 (2008) | IRR-A Blunder-What Next? But it is Still Popular-Why? | Abstract |
Sitangshu Khata | ||
Vol 4, No 2 (2010) | Is An Introduction of Derivatives Trading Cause-Increased Volatility? | Abstract |
Mayank Joshipura | ||
Vol 16, No 5 (2022) | Is CAPM Still Valid in Today’s Market Scenario? | Abstract |
Debajit Rabha, Rajkumar Giridhari Singh | ||
Vol 8, No 7 (2014) | Is Currency Depreciation Always Good for Improving Trade Balance? An Empirical Analysis of Selected Asian Economies | Abstract |
Aye Mengistu Alemu, Jin-Sang Lee | ||
Vol 9, No 10 (2015) | Is Equity Market Timing the Sole Criteria for Capital Structure Decisions? An Insight from Indian Firms | Abstract |
Sakshi Khanna, Amit Srivastava, Yajulu Medury | ||
Vol 8, No 2 (2014) | Is Fear (VIX) a Priced Factor in Multi Factor Asset Price Modeling? | Abstract |
Santosh Kumar, K. V. S. S. Narayana Rao | ||
Vol 4, No 1 (2010) | Is Investment-Uncertainty Relationship Monotonic? | Abstract |
Amaresh Das | ||
Vol 13, No 7 (2019) | Is the Indian Stock Market Efficiently Inefficient? An Empirical Investigation | Abstract |
Shahid Ashraf, Mirza Allim Baig | ||
Vol 6, No 3 (2012) | Is There any Diwali Effect? | Abstract |
Umesh Kumar | ||
Vol 3, No 6 (2009) | Joint Production in Banking Industry | Abstract |
Ann Shawing Yang | ||
Vol 12, No 2 (2018) | Linkages Between Global Capital Flows, Stock Market, and Monetary Policy : Evidences from India | Abstract |
Taral Pathak | ||
Vol 14, No 5-7 (2020) | Liquidity and Business Performance : A Study of Selected Indian Banks | Abstract |
Shradha H. Budhedeo, Neha Pandya, Neha Pandya | ||
Vol 11, No 10 (2017) | Loan - Loss Provisions in Indian Banks : An Appraisal of Institutional Attributes | Abstract |
K. R. Pillai, Linsy Mathew | ||
Vol 4, No 4 (2010) | Loan Recovery and Asset Quality of Commercial Banks: An Empirical Analysis | Abstract |
Jaynal Uddin Ahmed | ||
Vol 6, No 6 (2012) | Loans and Advances Portfolio Mix of Public Sector Development Banks in Bangladesh | Abstract |
S. M. Rabiul Alam, Syed Zabid Hossain | ||
Vol 7, No 1 (2013) | Long Range Dependence and Market Efficiency: Evidence From the Indian Stock Market | Abstract |
Srikanth Parthasarathy | ||
Vol 5, No 4 (2011) | Long Run Financial Market Cointegration and its Effect on International Portfolio Diversification | Abstract |
Anindya Chakrabarty, Bidyut Kumar Ghosh | ||
Vol 13, No 3 (2019) | Lower Boundary Conditions and Pricing Efficiency Testing of Indian Index Options Market : Empirical Evidence from Nifty 50 Index | Abstract |
Kelvin Mutum, Ashim Kr. Das | ||
Vol 13, No 6 (2019) | Macroeconomic Antecedents of Stock Returns and Exchange Rate | Abstract |
K. V. Bhanumurthy, Amit Kumar Singh, Annu Aggarwal | ||
Vol 14, No 2 (2020) | Macroeconomic Determinants of Gold Prices : A Bounds Testing Approach | Abstract |
Arwinder Singh, Navjot Kaur | ||
Vol 6, No 2 (2012) | Macroeconomic Determinants of Stock Price Changes: Empirical Evidence From Nigeria | Abstract |
Henry Egbezien Inegbedion | ||
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