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Issue Date | Title | Sub-Title | Author(s) | Journal Name | Volume Number | Issue Number | Pages |
2010 | Bank participation in commodity futures market | - | Khandelwal, Abhishek ; Agrawal, Kapil Kumar | | | | 52p. |
2009 | Book built initial public offerings in India : Determinants of pricing, Subscription patterns of investors and impact of regulation | - | Pande, Alok | | | | 140p. |
2001 | Brokerage houses and mutual funds in India - business strategies in the era of derivative products | - | Nayyar, Amit ; Jain, Ravi | | | | |
2000 | Chaos theory in financial markets | - | Mridula, M | | | | |
1999 | Corporate risk management | - | Karthikeyan, R ; Bhandari, Sahil | | | | |
2011 | Corporate strategy for a leading infrastructure company in India | - | Uppal, Anish | | | | 76p. |
2001 | Credit defualt swaps and other credit derivatives - risk estimation and pricing | - | Lingamneni, Praveen ; Gupta, Sona | | | | |
2000 | Credit risk estimation | - | Gupta, Nimesh ; Patel, Niral J | | | | |
2006 | Developing an option pricing model by including variable volatility | - | Nandita, Koshal ; Mrinal, Bhanwal | | | | |
2010 | Effectiveness of derivatives regulation in India | - | Phani Raju, H. | | | | 64p. |
2010 | Efficiency and effectiveness of SEBI as securities market regulator | - | Gugulothu, Lakshman | | | | 511p. |
1996 | Essays in international investments | - | Gandevia, Zair Phiroze | | | | 108p. |
2000 | Estimating ARCH model its variants for the Indian stock market | - | Bhagat, Amit ; Joshi, Tarun | | | | |
2010 | European sovereign debt crisis | - | Mathew, Georgy ; Fahad, V A | | | | 38p. |
2005 | Factors influencing the development of the derivatives markets | - | Srivastava, Prithu ; Singhal, Varun P | | | | |
2011 | Financial derivatives market in India: opportunities for future growth | - | Chhabra, Girish ; Veeraraghavan, Kavitha ; Awate, Kiran | | | | 41p. |
2003 | Fitting a yield curve to existing bond prices in the Indian market, and using the results to value interest rate products | - | Kapoor, Amit ; Venkat, Vidya | | | | |
2002 | Fitting term structure of interest rates to existing bond prices in the market | - | Kejriwal, Madhusudan ; Pradeep, V R | | | | |
1997 | Fixed income portfolio management | - | Chawla, Sanjay ; Subrahmanyam, V A | | | | |
1997 | Foreign exchange risk management practices of corporates in India | - | Trived, Manoj Kumar ; Mishra, Pracheesh ; Goenka, Sachin | | | | |