Items where Subject is "Finance > Investments"

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Number of items at this level: 11.

D

Dey, Kushankur (2011) A Risk-Mitigating Mechanism. Indian Management, 50 (7). pp. 76-79.

Dey, Kushankur and Maitra, Debasish (2012) Portfolio Selection Revisited: Evidence from the Indian Stock Market. IUP Journal of Applied Finance, 18 (3). pp. 31-47.

H

Haldipur, Rajesh and Singh, Kulbir and Vishwanath, S R (2015) Financing Strategy at Tata Steel: A Case. Asian Case Research Journal (acrj), 19 (2). pp. 259-289. ISSN 0218-9275

K

Kanagaraj, A and Murugesan, B (2006) Evaluation of Financial Information Content in Credit Rating Using Binary Logistic Regression. ICFAI Journal of Applied Finance, 12 (10). pp. 40-63.

L

Lakshmi, K (2005) Determinants of FIIs Investment. NSE News. pp. 3-8.

Lakshmi, K (2004) FIIs Portfolio Investment Trends in Indian Companies. NSE news. pp. 3-9.

Lakshmi, K (2004) Foreign Institutional Investors and Corporate Governance. NSE News. pp. 3-9.

S

Sharma, Lakshmi (2004) A Gap Analysis of FIIs Investments: An estimation of FIIs Investments Avenues in Indian Equity Market. NSE News. pp. 3-9.

Sharma, Lakshmi (2005) Institutional Investors in Indian Commodity Markets Issues and, Perspectives. TAPMI, Manipal.

Shijin, Santhakumar and Gopalaswamy, Arun Kumar and Acharya, Debashis (2012) Dynamic Risk-Return Relation with Human Capital: A Study on Indian Markets. International Journal of Emerging Markets, 7 (2). pp. 146-159.

V

Vishwanath, S R and Singh, Kulbir (2012) Hindustan Unilever Ltd. Asian Case Research Journal (acrj), 16 (2). pp. 269-287. ISSN 0218-9275

This list was generated on Tue Feb 18 18:52:19 2020 UTC.