Vol 5, No 2 (2015)

Table of Contents

Vol 5, No 2 (2015)

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Articles

Robust Benchmarking of Indian Mutual Funds-A Partial Frontier Approach
Ram Pratap Sinha
 Vol 5, No 2 (2015), Pagination: 1-15
ABSTRACT |  PDF     Abstract Views: 389  |  PDF Views: 0
Portfolio Return, Risk and Market Timing:A Non-Parametric Approach
Joyjit Dhar, Ram Pratap Sinha
 Vol 5, No 2 (2015), Pagination: 16-30
ABSTRACT |  PDF     Abstract Views: 362  |  PDF Views: 0
Price Discovery and Market Efficiency of Commodities Futures Market in India - A Cointegration and Causality Analysis
Shaik Masood, T. Satyanarayana Chary
 Vol 5, No 2 (2015), Pagination: 31-41
ABSTRACT |  PDF     Abstract Views: 387  |  PDF Views: 0
Impact of Weather on Return and Volatility:Evidence from Indian Stock Market
N. Vijayakumar, M. Dharani, S. Muruganandan
 Vol 5, No 2 (2015), Pagination: 42-49
ABSTRACT |  PDF     Abstract Views: 304  |  PDF Views: 0
Examining Contemporaneous Relationship between Return of Nifty Index and India VIX
Prasenjit Chakrabarti
 Vol 5, No 2 (2015), Pagination: 50-54
ABSTRACT |  PDF     Abstract Views: 330  |  PDF Views: 0
A Deterministic Description of Irrational and Semi-Rational Bubbles in Asset Markets
Tanmoy Ganguli
 Vol 5, No 2 (2015), Pagination: 55-62
ABSTRACT |  PDF     Abstract Views: 445  |  PDF Views: 0