Browse Title Index


 
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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