Browse Title Index


 
Issue Title
 
Vol 8, No 1 (2018) An Econometric Analysis of Linkages Between Macroeconomic Variables and Stock Markets:Evidence from Asian Emerging Markets Abstract
Risha Khandelwal
 
Vol 1, No 3 (2011) An Empirical Analysis of Corporate Restructuring and Share Price Performance in India Abstract
Yogesh C Joshi, Falguni H. Pandya
 
Vol 7, No 2-3 (2017) An Empirical Analysis of Foreign Exchange Exposure of CNX 100 Companies Abstract
Sriram Mahadevan
 
Vol 2, No 2 (2012) An Empirical Investigation of Short-Run Performance of Ipos in India Abstract
Himanshu Puri
 
Vol 9, No 3 (2019) An Empirical Study on Effect of Capital Structure on Financial Performance of Paper Manufacturing Companies in India: Penal Data Analysis Abstract
Butalal Ajmera
 
Vol 7, No 4 (2017) An Examination of Asymmetric Relation Between Implied Volatility Index and its Underlying Asset Abstract
Karam Pal Narwal, Purva Chhabra
 
Vol 3, No 4 (2013) An Investigation of the Day-of-the-Week Effect on Return and Volatility of NSE NIFTY Abstract
Som Sankar Sen
 
Vol 10, No 2&3 (2020) Analysis of Annuity and Impact of COVID 19 on Mortgage in Mathematical Finance Difference Equations Approach Abstract
M. Haridass, H. Harshini
 
Vol 6, No 3 (2016) Are Indian Investors Return Chasers? An Anatomy of their Trading Behavior Abstract
Martin Bernard, Malabika Deo
 
Vol 1, No 3 (2011) Are Mergers and Acquisitions Beneficial? the Case of Tata's Corus Buy Abstract
Ramakanta Prusty, Priyanka Gohil, Atul Bansal, Jayesh J Tanna
 
Vol 8, No 1 (2018) Are Regulatory Measures Influencing Bank Performances?The Ethiopian Case Abstract
Tesfaye Boru Lelissa, Abdurezak Mohammed Kuhil
 
Vol 6, No 3 (2016) Are Stock Markets Interdependent? An Empirical Study of Selected Market Indices Abstract
Falguni H. Pandya
 
Vol 7, No 2-3 (2017) Assessing the Inter Bank Disparity in Non-Performing Assets (NPAs) Management in Indian Public Sector Banks Abstract
K. Dhananjaya, Krishna Raj
 
Vol 12, No 2 (2022) Assessment of Potential Equity Investors and Stock Marketing Strategies: An Empirical Study in the Case of Ethiopia Abstract
Dakito Alemu Kesto
 
Vol 6, No 4 (2016) Benchmarking of Indian Sectoral Mutual Funds - A Non-Separable Undesirable Output Model Abstract
Ram Pratap Sinha
 
Vol 4, No 4 (2014) Board of Directors Characteristic and Cost of Debt in Tehran Stock Exchange Abstract
Hossein Nejatbakhsh, Saeid Jabbarzadeh Kangarlouei, Morteza Motavassel
 
Vol 11, No 2 (2021) Brand Valuation in the Mobile Communications Industry in Iran, Based on Brand Valuation Models Abstract
Mohammad Aghaei, Ali Ghasemian Sahebi, Rahil Kordheydari
 
Vol 6, No 2 (2016) Bull and Bear Phases:An Empirical Perusal of Indian Stock Market Abstract
Sunaina Kanojia, Neha Arora
 
Vol 2, No 3 (2012) Capital Market Exposure and Banking Risk: Evidence from Bangladesh Abstract
Md. Zakir Hossain
 
Vol 5, No 3 (2015) Capital Structure and Earnings Per Share:An Empirical Analysis of Indian Corporate Sector Abstract
Harvinder Singh Mand, Manjit Singh
 
Vol 6, No 2 (2016) Causal Relationship between Gold, Crude Oil & US Dollar Rates and S&P BSE 100 in India:An Experimental Study Abstract
Suresh Gopal, Jothi Munusamy
 
Vol 4, No 2 (2014) CD Ratio and Bank Profitability: An Empirical Study Abstract
Bibhu Prasad Biswal, Ravikiran Gopalakrishna
 
Vol 6, No 3 (2016) CEO Compensation and Acquired and Acquiring Companies in Large Corporate Acquisitions Abstract
Simon Yang
 
Vol 12, No 1 (2022) Climate Risk and Financial Performance of Energy Companies – A Cross-Country Analysis Abstract
Amitava Mondal, Somnath Bauri
 
Vol 6, No 2 (2016) Cointegration of Asian Stock Markets:Empirical Evidence from India Abstract
Beeralaguddada Srinivasa Veerappa
 
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