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Issue Date | Title | Sub-Title | Author(s) | Journal Name | Volume Number | Issue Number | Pages |
2016 | Aggregating default risk information from equity and debt markets: time-series and cross-sectional implications | - | Krishna, Aishwarya | | | | 158p |
2011 | Analysis of portfolio management strategy of SBI mutual funds | - | Verma, Ashish ; Sharma, Raveesh | | | | 23p. |
2017 | Analyzing the impact of raising financing on cumulative abnormal stock returns among Indian corporates | - | Vora, Rishi Satish | | | | 5p. |
2018 | Asymmetry variance as a tool for return on stocks | - | Saini, Gajanand ; Patil, Sneha | | | | 6p. |
2017 | Credit default swap as an indicator of financial health of a company | - | Niroshni, S ; Vignesh, S | | | | 13p. |
2011 | Cross border investments in India | - | Singh, Kanwar Rajan ; Limaye, Prasad | | | | 30p. |
2012 | Cross border mergers and acquisitions: corporate taxation aspects | - | Sreelekha, V S | | | | 133p. |
2017 | Essays on capital flows and financial exclusion | - | Joshi, Smita | | | | 139p. |
2010 | Growth option based valuation models | - | Jain, Alok Kumar ; Kamat, Sadanand | | | | 16p. |
2016 | Impact of oil prices on sovereign CDS spread | - | Bharti, Gaurav ; Makkar, Sahil | | | | 11p. |
2010 | Information content of private equity investments decision in indian listed firms | - | Gawai, Prashant ; Rohit, Vinay Babu | | | | 22p. |
2015 | Machine learning research in quantitative finance | - | Dhingra, Nipun ; Raheja, Pranav | | | | 14p. |
2016 | Optimizing the returns of option strategies using fundamental and technical analysis of the underlying | - | Mohan Raj, M ; Gupta, Santosh | | | | 43p. |
2010 | Real options and optimal investment decisions | - | Jain, Alok Kumar ; Rohith, S | | | | 20p. |
2010 | Real options approach to decision-making in oil and gas field developments | - | Srivastava, Arvind Kumar ; Dhanesh, K P | | | | 27p. |
2010 | Reforms in Indian bond market | - | Narasimha Rao, D Rudhra ; Babu, Potala Sai | | | | 56p. |
2016 | Signal based FX hedging strategies for European buyers | - | Soni, Akshay ; Jain, Archit | | | | 14p. |
2012 | Statistical model for rating Indian firms | - | Chari, Arvind S ; Mallaya, Ratheesh R | | | | 10p. |
2011 | Study of Basel III framework and its impact on real estate sector | - | Goyal, Ashutosh N ; Saraf, Khushboo | | | | 27p. |
2010 | The chinese real estate market bubble | - | Sharma, Vishnu Dutt ; Jhall, Shalini | | | | 23p. |