Issue | Title | |
Vol 9, No 2 (2019) | Non-Performing Assets in Indian Banking System–A Study With Reference to SBH (Before the Merger) | Abstract |
S. Narasimha Chary, Mohd Fasi | ||
Vol 3, No 2 (2013) | Non-performing Assets in Public Sector Commercial Banks-A Retrospect | Abstract |
C. Mangala Gowri, Venkata Ramanaiah Malepati, B. Bhagavan Reddy | ||
Vol 2, No 3 (2012) | On the Return and Volatility Spillover between US and Indian Stock Market | Abstract |
Som Sankar Sen, Tanmay Bandhopadhyay | ||
Vol 7, No 1 (2017) | On Volatility Trading & Option Greeks | Abstract |
J. P. Singh | ||
Vol 5, No 1 (2015) | Optimal Asset Allocation of Assets in an Open Pension Plan | Abstract |
Maneesh Sharma, Tom Totten, John Cierzniak | ||
Vol 8, No 4 (2018) | Panel Data Analysis of Determinants of Leverage in the Automobile Industry in India | Abstract |
Vibha Tripathi | ||
Vol 1, No 4 (2011) | Penetration and Growth of Banking in Punjab during Post Reforms Era | Abstract |
Jasmindeep Kaur, Silony | ||
Vol 4, No 3 (2014) | Performance Evaluation of Mutual Fund in India: An Empirical Study | Abstract |
Subrata Roy | ||
Vol 2, No 1 (2012) | Performance Evaluation of Public and Private Sector Banks: a Multivariate Analysis | Abstract |
K.V.N. Prasad, D. Maheshwara Reddy | ||
Vol 10, No 4 (2020) | Performance Evaluation of Sectoral Mutual Fund Schemes: Evidence from India | Abstract |
Animesh Bhattacharjee | ||
Vol 2, No 4 (2012) | Portfolio Construction and The Reduction of Diversifiable Risk | Abstract |
Subrata Roy, Shantanu Kumar Ghosh | ||
Vol 5, No 2 (2015) | Portfolio Return, Risk and Market Timing:A Non-Parametric Approach | Abstract |
Joyjit Dhar, Ram Pratap Sinha | ||
Vol 3, No 1 (2013) | Post-issue Performance of IPOS in India | Abstract |
Sudesh Kumar Sharma, Sanjiv Mittal, N. K. Gupta | ||
Vol 5, No 2 (2015) | Price Discovery and Market Efficiency of Commodities Futures Market in India - A Cointegration and Causality Analysis | Abstract |
Shaik Masood, T. Satyanarayana Chary | ||
Vol 1, No 1 (2011) | Price Discovery in Precious Metals Market: A Study of Gold | Abstract |
Narender Kumar, Sunita Arora | ||
Vol 5, No 1 (2015) | Prior Return Effect in Indian Stock Market:An Intra-Day Analysis | Abstract |
Vanita Tripathi, Shalini Aggarwal | ||
Vol 4, No 3 (2014) | Privatization and Firm's Performance in Iran | Abstract |
Akbar Ashori, Saeid Jabbarzadeh Kangarlouei, Morteza Motavassel | ||
Vol 1, No 4 (2011) | Profit Performance of Indian Commercial Banks in the Post-reform Period: has it Improved | Abstract |
Santosh Kumar Mahapatra | ||
Vol 11, No 2 (2021) | Regional Heterogeneity, Monetary Shock, and Bank Lending: Evidence from Chinese Real Estate Market | Abstract |
Yongli Luo | ||
Vol 7, No 1 (2017) | Relationship between Code of Corporate Governance and Corporate Financial Performance (An Empirical Study of Food Companies Listed on KSE) | Abstract |
Asma Rafique Chughtai, Afifa Naseer, Asma Hassan | ||
Vol 4, No 2 (2014) | Relationship Between Foreign Institutional Investment, Exchange Rate and Foreign Exchange Reserves: The Case of India Using ARDL Bounds Testing Approach | Abstract |
Niti Bhasin, Vartika Khandelwal | ||
Vol 7, No 4 (2017) | Relationship Between Foreign Portfolio Investments (FPI), Domestic Institutional Investors, and Stock Market Returns in India | Abstract |
Dhananjaya Kadanda, Krishna Raj | ||
Vol 10, No 4 (2020) | Relationship between Managerial Ownership and Agency Cost | Abstract |
Shubhi Agarwal, Archana Singh | ||
Vol 10, No 1 (2020) | Revisiting Financial Development and Economic Growth Nexus After Incorporating Structural Breaks: Evidence from India | Abstract |
Rakesh Shahani, Keshav Sharma | ||
Vol 5, No 3 (2015) | Revisiting the Dynamic Relationship between Macroeconomic Fundamentals and Stock Prices:An Evidence from Indian Stock Market | Abstract |
Deepa Mangala, Anita Rani | ||
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