Issue | Title | |
Vol 10, No 8 (2016) | Performance Evaluation of Indian Mutual Funds During Bull and Bear Periods | Abstract |
Rajesh Mishra, Vishal Ahuja | ||
Vol 7, No 1 (2013) | Performance Evaluation of Large-Size Commercial Banks in India | Abstract |
K. Devanadhen | ||
Vol 7, No 7 (2013) | Performance Evaluation of Regional Rural Banks (RRBs) in India | Abstract |
Jarupula Chinna | ||
Vol 12, No 9 (2018) | Performance Evaluation of Select Mutual Funds: A Public-Private Comparison | Abstract |
Amir Rehmani | ||
Vol 4, No 6 (2010) | Performance Evaluation: A Comparative Study Between Indian and Foreign Equity Mutual Funds | Abstract |
V. Rama Devi, Nooney Lenin Kumar | ||
Vol 17, No 5 (2023) | Performance of Conventional and Sustainable Index in Pre and During the COVID-19 Pandemic : A Comparative Analysis | Abstract |
Manpreet Kaur Makkar, Atif Ghayas, Nitin Gupta | ||
Vol 10, No 1 (2016) | Performance of the Indian Banking Industry:A Comparison of Public and Private Sector Banks | Abstract |
Shalini Shukla | ||
Vol 6, No 6 (2012) | Portfolio Selection in BSE: Expected Return and Risk Analysis through Markowitz Theorem | Abstract |
N. Rajasekaran | ||
Vol 3, No 6 (2009) | Potential Risk Factors Influencing the Indian Pharmaceutical Industry - An Exploratory Study | Abstract |
V. Y. John | ||
Vol 10, No 1 (2016) | Pradhan Mantri Jan Dhan Yojana (PMJDY):A Step towards Eradicating Financial Untouchability | Abstract |
Yogesh Verma, Priyanka Garg | ||
Vol 4, No 1 (2010) | Pre and Post Merger Financial Performance of Merged Banks in India - A Select Study | Abstract |
K. Srinivas | ||
Vol 4, No 5 (2010) | Pre and Post Merger Physical Performance of Merged Banks in India - A Select Study | Abstract |
K. Srinivas | ||
Vol 12, No 8 (2018) | Predicting Corporate Financial Distress for Widely Held Large - Cap Companies in India : Altman Model vs. Ohlson Model | Abstract |
Ansuman Chatterjee | ||
Vol 12, No 4 (2018) | Predicting Earnings Manipulation Using Beneish M - Score of Selected Companies in India | Abstract |
Charmi Shah, Mehul Saraswat, Akshay Mehta | ||
Vol 12, No 7 (2018) | Predicting E-Banking Adoption : An Evaluation of Perceptions and Behavioural Intentions of Small and Medium Enterprises in Karnataka | Abstract |
Savitha Basri, Dhiraj Shetty | ||
Vol 14, No 4 (2020) | Predicting Economic Activity Using the Slope of Yield Curve : A Study of Indian Economy | Abstract |
Rahul Rangotra | ||
Vol 13, No 8 (2019) | Predicting the Stock Market Index using Stochastic Time Series ARIMA Modelling: The Sample of BSE and NSE | Abstract |
C. Viswanatha Reddy | ||
Vol 7, No 9 (2013) | Prediction of Stock Option Prices Using Volatility (Garch (1, 1)) Adjusted Black Scholes Option Pricing Model | Abstract |
G. Pradeep Kumar, S. Saravanan | ||
Vol 3, No 3 (2009) | Presence of Rational Speculative Bubbles in the Indian Stock Market | Abstract |
Jayasree Raveendran, R. Madhumathi | ||
Vol 3, No 10 (2009) | Price and Liquidity Effects of Stock Split: Empirical Evidence from the Indian Stock Market | Abstract |
Mayank Joshipura | ||
Vol 6, No 5 (2012) | Price and Volume Effects of Voluntary Delisting in India | Abstract |
Shashank Manchanda | ||
Vol 6, No 6 (2012) | Price, Discounting and Differentials in the Tourism Industry: A Study on Kerala Tourism | Abstract |
Gracious James | ||
Vol 15, No 8 (2021) | Price Discovery and Volatility Spillover for Indian Energy Futures Market in the Pre- and Post-Crisis Periods | Abstract |
Neha Seth, Arpit Sidhu | ||
Vol 8, No 6 (2014) | Price Discovery in the Equity Derivatives Market: A Literature Survey | Abstract |
Rajesh Pathak, Ranajee, Satish Kumar | ||
Vol 1, No 2 (2007) | Private Players and Life Insurance Industry | Abstract |
Pooja Bhalla, Gagandeep Kaur | ||
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