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Issue Date | Title | Sub-Title | Author(s) | Journal Name | Volume Number | Issue Number | Pages |
2021 | A comparative study of bank failure prediction models on Indian banks: Identifying appropriate models based on failure parameters | - | Datta, Subhadeep ; Podder, Sanjoy | | | | 24p. |
2011 | A dual system model of preferences under risk | - | Mukherjee, Kanchan | | | | |
2011 | A dual system model of preferences under risk | - | Mukherjee, Kanchan | | | | |
2013 | Analysis of long run returns of companies that have made acquisitions | - | Srinivasan, G D ; Barua, Alimpan | | | | 12p. |
2010 | Analysis of risk management by Indian firms: The Tata perspective | - | Singh, Amartya ; Gupta, Sunidhi | | | | 52p. |
2008 | Analysis of societal risks and strategies to cope | - | Puri, Narinder | | | | 44p. |
2006 | Arbitrage opportunities with index futures | - | Bansal, Saurabh | | | | 6p. |
2008 | Basel II accord: is it the answer to ineffective risk management frameworks? | - | Gupta, Anshul ; Bansal, Parv | | | | 32p. |
2012 | Basel-II RWA Calculator: counterparty credit risk for OTC derivatives; audit and enterprise risk services, Deloitte USI, Hyderabad | - | Singh, Abhishek Kumar | | | | 12p. |
2022 | Building resilient supply chain through comprehensive analysis of risks and risk sources and application of analytic hierarchy process (AHP) | - | Grover, Vasudev ; Gupta, Vaishali | | | | 39p. |
2010 | Business plan for "clause-49 SaaS based solution"; Quadwave Consulting | - | Thangarajan | | | | 17p. |
1998 | CAC and risk management in the backdrop of South East Asian crisis (With special reference to Indian Banks); Global Trust Bank Limited | - | Satish Kumar, C | | | | |
2007 | Changing risk perceptions: indicators, causes and implications | - | Thakur, Pankaj | | | | 47p. |
2011 | Cloud Computing: Business risk management | - | Kaushal, Archana ; Singh, Vivek | | | | 62p. |
2005 | Commodity linked debt capital market financing and risk management opportunities for Barclays Capital India | - | Tiwari, Anurag | | | | 79p. |
2011 | Comparative study of risk management framework in exchanges that facilitate trade in equity derivative products | - | Kalidasan, S. ; Kallidukkil, Gimmy | | | | 59p. |
2008 | Contemporary financial risk management: the role of Value at Risk (VAR) Models. | - | Bhattacharyya, Malay | IIMB Management Review | Vol.20 | Iss.3 | 292-296p. |
2009 | Country risks analysis: The Indian case | - | Letellier, Francois-Xavier | | | | 24p. |
2012 | Credit default swaps: trading strategies and murex implementation; ICICI Securities Primary Dealership Limited (ISecPD) | - | Maheshwari, Ankit | | | | 33p. |
2009 | Credit risk management for Indian banks | - | Jagadish, M. A. ; Potnis, Sachin | | | | 24p. |