Browse Title Index


 
Issue Title
 
Vol 2, No 4 (2012) Interest Rate Sensitivity of Banking Stock Returns in India Abstract
Vanita Tripathi, Renu Ghosh
 
Vol 10, No 4 (2020) Internal Control Reporting: A Study on Dhaka Stock Exchange 30 Index Abstract
Shaily Das
 
Vol 9, No 2 (2019) International Financial Reporting Standards-A Tool for Harmonising the Financial Reporting Abstract
N. Abhishek, M. S. Divyashree
 
Vol 1, No 2 (2011) International Listing and Stock Returns: Evidence from Emerging Economies Abstract
Anindita Chakraborty, Umesh Holani
 
Vol 4, No 3 (2014) Investor Behaviour and the Persistence of Poorly Performing Mutual Funds: Evidence from India Abstract
Karunanithy Banumathy, Malabika Deo, Ramachandran Azhagaiah
 
Vol 9, No 3 (2019) Investor’s Herding:A Study of the National Stock Exchange of India Abstract
Kiran Sharma
 
Vol 8, No 2 (2018) Is International Investment Diversification Prudent for the Individual or Corporate Investor? Abstract
Richard Cloutier
 
Vol 2, No 2 (2012) Iterative Solvers for Portfolio Optimization Abstract
Anandadeep Mandal
 
Vol 7, No 2-3 (2017) Lead Lag Relationship Between Futures and Spot Prices in Select Nifty Companies Abstract
Rajani Balakrishna Bhat, V. N. Suresh
 
Vol 2, No 2 (2012) Linkage between Stock Volatility and Corporate Bond Yield Spread in Singapore Abstract
Nafis Alam
 
Vol 7, No 4 (2017) Liquidity Gap Report for Stress Testing Structural Liquidity Risk Abstract
Eugenia Schmitt
 
Vol 1, No 1 (2011) Long Memory of NSE Indices Abstract
C. V. R. S. Vijaya Kumar, Ashutosh Verma
 
Vol 6, No 1 (2016) Long-Run Performance of IPO Market in India Abstract
K. V. Bhanu Murthy, Amit Kumar Singh, Lovleen Gupta
 
Vol 1, No 3 (2011) Management of Non-performing Assets of Commercial Banks: The Evidence from Indian Banking Sector Abstract
Jaynal Ud-din Ahmed
 
Vol 3, No 3 (2013) Market-timing Performance of the Open-ended Income and Growth Mutual Fund Schemes: An Empirical Study Abstract
Subrata Roy, Shantanu Kumar Ghosh
 
Vol 8, No 2 (2018) Measurement of Total Liquidity Assets Risk Resulting from Increase of Liquidity Spread Abstract
Eugenia Schmitt
 
Vol 5, No 1 (2015) Measuring Access of Microfinance on Poverty in India:Towards a Comprehensive Index Abstract
Arindam Laha, Pravat Kumar Kuri
 
Vol 12, No 2 (2022) Microfinance Outreach and its Linkages to Human Development: Evidences from South Asia with Special Reference to India Abstract
Arindam Laha
 
Vol 6, No 3 (2016) Mobile Money – A Catalyst for Financial Inclusion in Developing Economies:A Case Study of Zimbabwe Using FinScope Survey Data Abstract
Kingstone Mutsonziwa, Obert K. Maposa
 
Vol 6, No 4 (2016) Mobile Money Landscape in the 12 SADC Countries using FinScope Survey Data Abstract
Kingstone Mutsonziwa
 
Vol 3, No 3 (2013) Modelling Stock Market Return Volatility: Garch Evidence from Nigerian Stock Exchange Abstract
Kolade Sunday Adesina
 
Vol 6, No 4 (2016) Monthly Patterns in Egyptian Stock Market Abstract
Ahmed Ahmed, Sohair Ahmed
 
Vol 6, No 3 (2016) Multi-Index Conditional Investment Performance Measure:An Empirical Analysis Abstract
Subrata Roy
 
Vol 1, No 1 (2011) Multivariate Causal Estimates of Dividend Yields, Price Earning Ratio and Expected Stock Returns: Malaysian Evidence Abstract
Faizatul Syuhada Abdul Fatah, Wan Mansor Wan Mahmood
 
Vol 5, No 4 (2015) Non-Linearity and Chaotic Behaviour in Cyprus Stock Market Abstract
Athina Bougioukou
 
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