The IUP Journal of Financial Economics
2003 - 2012
From IUP Publications
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Volume IV, issue 4, 2006
- VISUALIZATION OF THE ROAD TO CHAOS FOR FINANCE AND ECONOMICS MAJORS pp. 7-34
- Cornelis Los
- THE INTERRELATEDNESS OF MALAYSIAN EQUITY MARKETS, MONEY MARKETS AND FOREIGN EXCHANGE MARKET pp. 35-47
- Wan Mansor Mahmood
- THE ELASTICITY AND BUOYANCY OF THE BOTSWANA TAX SYSTEM AND THEIR DETERMINANTS pp. 48-62
- Thuto D Botlhole and Tamunopriye Agiobenebo
- HOUSING FINANCE IN INDIA A CASE STUDY OF LIC HOUSING FINANCE LIMITED pp. 63-74
- Fulbag Singh and Reema Sharma
- CAN THERE BE A PROPER CALCULATION PROCEDURE OF THE POVERTY LINE? pp. 75-89
- Aurobindo Ghosh
Volume IV, issue 3, 2006
- A STUDY OF ATTITUDES AND TRADING BEHAVIOR OF STOCK MARKET INVESTORS pp. 54-68
- C. Shylajan and Sushama Marathe
- EVALUATING FISCAL PERFORMANCE OF SRI LANKA: AN EMPIRICAL INVESTIGATION pp. 69-80
- Krishna Chaitanya V
Volume IV, issue 2, 2006
- INDIAN SENSITIVE INDEX (SENSEX) AND ASSETS PRICING LITERATURE IN FINANCIAL ECONOMICS pp. 6-34
- A Peer Mohamed
- DISCOUNT RATES IN EMERGING CAPITAL MARKETS pp. 35-55
- Samuel Mongrut Montalván and Dídac Ramírez Sarrió
- BANK CONCENTRATION AND FINANCIAL DEVELOPMENT: THE CROSS-COUNTRY EVIDENCE pp. 56-65
- Siong Hook Law and Ahmad Zainuddin Abdullah
Volume IV, issue 1, 2006
- An Empirical Test of a New Theory of Economic Reform:The Case of Indonesia pp. 7-24
- Carolyn Currie
- Capital Adequacy of Indian Commercial Banks: Some Empirical Results pp. 25-44
- Ram Sinha
- Liquidity Trends in the Indian Iron and Steel Industry: A Comparative Study of SAIL and TISCO pp. 45-53
- S C Bardia
- India’s Terms of Trade: A Commodity Group-wise Analysis pp. 54-68
- L Krishna Veni
- Non-performing Assetsin Public Sector Banks:An Investigation pp. 69-79
- B Krishna Reddy, P Premchand Babu, Vootla Mallikarjuna and P Viswanath
Volume III, issue 4, 2005
- Preventing Financial CrisesThe Need for a New Theory of Financial Regulation pp. 6-48
- Carolyn Currie
- Testing for a Random Walk in Italy’s Inflation in the Post-War Period, 1947-1996 pp. 77-82
- Paresh Narayan
Volume III, issue 3, 2005
- Volatility in Trade Openness, Capital Inflows and Economic Growth: The Case of India pp. 7-18
- Gollagari Ramakrishna
- Why VaR FailsLong Memory and Extreme Events in Financial Markets pp. 19-36
- Cornelis Los
- Nonlinearities in the Adjustments of Commercial Banks’ Retail Rates to Interbank Rates: The Case of Mauritius pp. 37-53
- Kheswar Jankee
Volume III, issue 2, 2005
- Venture Capital—Recent Trends in the Liberalization Context pp. 38-51
- D Nagayya
- Low Bargaining Power of Labor Attracts FDI to India pp. 52-55
- B K Nayak and Surya Dev
- A Proposal to Bail-out the Tamil Nadu Electricity Board from Financial Fiasco pp. 56-72
- N Sankaralingam
Volume III, issue 1, 2005
- Persistence in the Indian Mutual Fund Market pp. 6-25
- Arjun Raychaudhuri
Volume II, issue 4, 2004
- Economic Crisis—The Why and How pp. 30-37
- N Rajshekhar
- Asymmetric Information How Equity Finance is Better than Debt Finance pp. 38-46
- Ravi S Madapati
- A Systems View of Market Operations The Role of Perceptions pp. 47-60
- Dilip Dasgupta
Volume II, issue 3, 2004
- Commodity Risk – Petroleum Companies pp. 41-71
- Deepak Ukidave
- Venture Capital Markets: Current Trends pp. 72-81
- Ravi S Madapati
Volume II, issue 2, 2004
- Efficiency of the Indian Derivatives Market – An Empirical Study pp. 41-53
- Dr. A Sudhakar and D G Praveen
- Understanding Hedge Funds pp. 64-70
- Ravi S Madapati
Volume II, issue 1, 2004
- Strategies in Restructuring: Ways to Create Wealth pp. 57-68
- Ravi S Madapat
Volume I, issue 1, 2003
- Forecasting Volatility of BSE-30 Index Using Econometric Models pp. 31-55
- Ravi Madapati
- Swaps in India pp. 77-93
- M Bhayshakar