Browse Title Index


 
Issue Title
 
Vol 2, No 2 (2012) A Comparative Study of Mutual Fund Performance during Recession in India Abstract
Subrata Roy, Shantanu Kumar Ghosh
 
Vol 9, No 1 (2019) A Comparative Study on Financial Performance of Shariah Compliant Stocks and Conventional Stocks in India Abstract
K. Saidalavi, Rashid Farooqi
 
Vol 5, No 2 (2015) A Deterministic Description of Irrational and Semi-Rational Bubbles in Asset Markets Abstract
Tanmoy Ganguli
 
Vol 9, No 2 (2019) A Diagnostic Approach to Corporate Sustainability Based on Normalized Net Margins and Extended Present Value Abstract
Marco Desogus, Elisa Casu
 
Vol 3, No 4 (2013) A Meta-Heuristic Ant Colony Optimization Method for Solving Portfolio Optimization Abstract
Slimane Sefiane, Mohamed Benbouzian
 
Vol 10, No 4 (2020) A Pragmatic Investigation of the Mutual Fund Performance Determinants Abstract
Prakash M. Walavalkar, K. Shivashankar, Anilkumar G. Garag
 
Vol 8, No 3 (2018) A Precisely Practical Measure of the Total Cost of Debt for Determining the Optimal Capital Structure and the Weighted Average Cost of Capital Abstract
Austin Murphy
 
Vol 6, No 1 (2016) A Single Period Stochastic Model for Maximising Firm’s Value Abstract
J. P. Singh
 
Vol 11, No 1 (2021) A Stochastic Model Approach to Study the Demeanor of Financial Markets and Impact of COVID-19 Pandemic on Spot and Forward Rates Abstract
M Haridass
 
Vol 4, No 2 (2014) A Study of Contrarian and Momentum Profits in Indian Stock Market Abstract
Raj S. Dhankar, Supriya Maheshwari
 
Vol 1, No 2 (2011) A Study of forecasting of Exchange Rates Using Non Robust and Robust Estimators Abstract
J.V Janhavi, R Suresh
 
Vol 1, No 2 (2011) A Study of Impact of Leverage on the Profitability of Indian Banking Industry Abstract
S.M. Tariq Zafar, Adeel Maqbool, Anju Fortyal
 
Vol 4, No 3 (2014) A Study on Cross-Sectional Dependence and Independence Approach in an Event Study - A Case with Sensex Abstract
Santu Das, J. K. Pattanayak, Pramod Pathak
 
Vol 2, No 3 (2012) A Study on Dividend Policy and its Impact on the Shareholders Wealth in Selected Banking Companies in India Abstract
S.M. Tariq Zafar, D.S. Chaubey, S.M. Khalid
 
Vol 2, No 1 (2012) A Study on the Linkages of Asian and the US Stock Markets Abstract
S.M. Tariq Zafar, D.S. Chaubey, S.R. Sharma
 
Vol 8, No 4 (2018) A Study on Unfolding Volatility and Leverage Effect in Indian Stock Market Abstract
Shabarisha Narayan, J. Madegowda
 
Vol 1, No 4 (2011) A Study on Validity of Lintner's Model of Dividend in Indian Companies Abstract
Shaveta Gupta, Balram Dogra, A. K. Vashisht
 
Vol 1, No 4 (2011) A Testing of Lead-lag Relationship between Nifty Spot and Futures Index Returns and Volatility Abstract
Govind Chandra Patra, Shakti Ranjan Mohapatra
 
Vol 1, No 1 (2011) Adoption and Diffusion of Electronic Banking by Customers: Critical Analysis of Empirical Evidences Abstract
Kamalpreet Kaur, Mandeep Kaur
 
Vol 11, No 3 (2021) Adoption of Digital Modes of Financial Services: A Gender Perspective Abstract
Deepali Handa, Rupali Taneja
 
Vol 10, No 2&3 (2020) An Analysis of Public Sector Banks’ Performance using CAMEL Rating Model Abstract
Shelly, Parmod Kumar Singhal
 
Vol 7, No 1 (2017) An Analytical Approximation for Option Price under the Affine GARCH Model–A Comparison with the Closed-Form Solution of Heston-Nandi Abstract
Noureddine Lahouel, Slaheddine Hellara
 
Vol 11, No 2 (2021) An Analytical Study of Investment Patterns of Working Women in India Abstract
Sunita Sukhija
 
Vol 9, No 4 (2019) An Application and Comparison of Bankruptcy Models in the Indian Banking Sector Abstract
Reshma Prabhu Verlekar, Manoj Kamat
 
Vol 11, No 1 (2021) An Assessment of Correlation between Twitter Sentiments Indicators and Stock Market Indicators, with Reference to BSE and NSE in India Abstract
S Santhoshkumar, Murugesan Selvam, Chinnadurai Kathiravan, Dhamotharan Dhanasekar
 
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