Issue | Title | |
Vol 5, No 2 (2018) | A Firm Level Robust Credit Rating Migration Modeling Framework : A Small Sample Methodology | Abstract |
Rohit Malhotra | ||
Vol 2, No 4 (2015) | A Study of Mutual Funds from Different Sectors in India | Abstract |
Sonali Agarwal, Chand Tandon, P. S. Raychaudhuri | ||
Vol 6, No 2 (2019) | A Study on Changes in Equity Funds Due to Categorization of Mutual Funds and their Impact on Investors' Behavior | Abstract |
Mercia Selva Malar, Ann Jose | ||
Vol 4, No 2 (2017) | A Study on Dividend Pattern of Indian Corporate Firms | Abstract |
Dinesh Kr. Sharma, Ritu Wadhwa | ||
Vol 9, No 2-3 (2022) | A Study on Formation of Candlestick Chart Patterns with Respect to the Indian Automobile Sector | Abstract |
Anusha S. Sangondimath, S. B. Kamashetty | ||
Vol 3, No 3 (2016) | A Study on Level of Awareness About Agricultural Commodity Derivatives Among Farmers in Karnataka | Abstract |
Vaijanath Babshetti, Prakash Basanna | ||
Vol 9, No 4 (2022) | A Study on Retail Investors’ Awareness of Stock Market Investments in Delhi-NCR | Abstract |
Tek Chand | ||
Vol 9, No 2-3 (2022) | A Study on the Impact of COVID - 19 on Alternative Investment Funds in India | Abstract |
V. Mangala Minutha, Uday Kumar Jagannathan | ||
Vol 4, No 2 (2017) | A Study on the Influence of Stock Broker on Investor's Decision Making with Special Reference to Bombay Stock Exchange | Abstract |
K. Prabhakar Rajkumar, N. Lakshmi Kavitha | ||
Vol 10, No 1 (2023) | A Study on Wealth Management During Crisis : An Empirical Study Using Downside Risk Approach in India | Abstract |
Divya Kumari, Abhishek Parikh | ||
Vol 5, No 4 (2018) | An Analysis of Existence of Convergence Between Spot and Futures Prices in Selected Agricultural Commodities | Abstract |
Vaijanath Babshetti, Prakash Basanna | ||
Vol 3, No 4 (2016) | An Analysis of Market Timing and Stock Selection Ability of Fund Managers in India | Abstract |
R. P. Prakash, Prakash Basanna | ||
Vol 8, No 1-2 (2021) | An Analysis of the Macroeconomic Variables Impacting the Indian Stock Market at NSE Nifty 50 | Abstract |
R. P. Prakash | ||
Vol 7, No 1 (2020) | An Analysis of Trading Behaviour of Foreign and Domestic Institutional Investors in the Indian Stock Market : An Empirical Study | Abstract |
P. Sathish | ||
Vol 3, No 2 (2016) | An Econometric Analysis of Causal Relationship Between Gold, Crude Oil, U.S. Dollar Rates and S&P BSE 100 in India | Abstract |
M. Jothi, G. Suresh | ||
Vol 7, No 1 (2020) | An Empirical Investigation into the Listing Performance of Indonesian IPOs | Abstract |
Ambrish Gupta | ||
Vol 6, No 3 (2019) | An Empirical Study on Initial Listing Performance of IPOs in India | Abstract |
H. N. Archana, D. Srilaskhmi | ||
Vol 3, No 3 (2016) | Analysing the Effect of Monsoon on the Indian Stock Market | Abstract |
Trilok Nath Shukla | ||
Vol 3, No 4 (2016) | Analyzing the Impact of CNX Nifty Index Futures on the Volatility of S&P CNX Nifty Index | Abstract |
P. Karthikeyan, P. Karthika | ||
Vol 2, No 2 (2015) | Analyzing the Relationship Between Management Efficiency, Capital Structure, and Firms' Performance in a Turbulent Environment : Evidence from India | Abstract |
Sakshi Khanna, Amit Srivastava, Yajulu Medury | ||
Vol 2, No 3 (2015) | Analyzing the Robust Factors of Overconfidence Bias and its Impact:An Interpretive Structural Modeling Approach | Abstract |
Ity Patni, Sangita Choudhary, Somya Choubey | ||
Vol 1, No 1 (2014) | Annual Review of Indian Primary Securities Market : 2013-14 | Abstract |
Ambrish Gupta | ||
Vol 7, No 2&3 (2020) | Annual Review of the Indian Primary Equity Market : 2019 – 20 | Abstract |
Ambrish Gupta | ||
Vol 9, No 1 (2022) | Asset Correlation and the Optimal Portfolio Size Determination – Case of Nifty 50 and NASDAQ 100 Indices | Abstract |
Himanshu Joshi | ||
Vol 5, No 1 (2018) | Association Between Indian and U.S. Stock Markets : Volatility Spillover Effect Using GARCH Models | Abstract |
Pushpa M. Savadatti | ||
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