Found: 18
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The forecasting performance of implied volatility index: evidence from India VIX.
- Published in:
- Economic Change & Restructuring, 2014, v. 47, n. 4, p. 251, doi. 10.1007/s10644-014-9149-z
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- Publication type:
- Article
Inter-temporal relationship between India VIX and Nifty equity index.
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- Decision (0304-0941), 2014, v. 41, n. 4, p. 439, doi. 10.1007/s40622-014-0046-0
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- Publication type:
- Article
The Impact of Macroeconomic Fundamentals on Stock Prices Revisited: Evidence from Indian Data.
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- Eurasian Journal of Business & Economics, 2012, v. 5, n. 10, p. 25
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- Article
Evaluating Indian economy's vulnerability to currency crisis.
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- Theoretical & Applied Economics, 2017, v. 24, n. 3, p. 97
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- Publication type:
- Article
Common Determinants of the Likelihood of Currency Crises in BRICS.
- Published in:
- Global Business Review, 2020, v. 21, n. 3, p. 698, doi. 10.1177/0972150918779163
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- Publication type:
- Article
Stock Market Volatility and Equity Trading Volume: Empirical Examination from Brazil, Russia, India and China (BRIC).
- Published in:
- Global Business Review, 2015, v. 16, p. 28S, doi. 10.1177/0972150915601235
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- Publication type:
- Article
On the Linkages among Ex-ante and Ex-post Volatility: Evidence from NSE Options Market (India).
- Published in:
- Global Business Review, 2013, v. 14, n. 3, p. 487, doi. 10.1177/0972150913496866
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- Publication type:
- Article
THE RELATIONSHIP BETWEEN STOCK MARKET VOLATILITY AND TRADING VOLUME: EVIDENCE FROM SOUTH AFRICA.
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- Journal of Developing Areas, 2018, v. 52, n. 1, p. 99, doi. 10.1353/jda.2018.0007
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- Publication type:
- Article
Health expenses and economic growth: convergence dynamics across the Indian States.
- Published in:
- International Journal of Health Care Finance & Economics, 2013, v. 13, n. 3/4, p. 261, doi. 10.1007/s10754-013-9130-9
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- Publication type:
- Article
Determinants of nonperforming assets-bank-specific and macroeconomic factors: A panel data analysis of different group of commercial banks operating in India.
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- Theoretical & Applied Economics, 2016, v. 23, n. 4, p. 215
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- Publication type:
- Article
On the Relationship of Ex-ante and Ex-post Volatility: A Sub-period Analysis of S&P CNX Nifty Index Options.
- Published in:
- Journal of Emerging Market Finance, 2015, v. 14, n. 2, p. 140, doi. 10.1177/0972652715584266
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- Publication type:
- Article
Exploring the dynamics of the equity–commodity nexus: A study of base metal futures.
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- Journal of Futures Markets, 2022, v. 42, n. 8, p. 1573, doi. 10.1002/fut.22358
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- Publication type:
- Article
Backtesting of Value at Risk Methodology: Analysis of Banking Shares in India.
- Published in:
- Margin: The Journal of Applied Economic Research, 2015, v. 9, n. 3, p. 254, doi. 10.1177/0973801015583739
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- Publication type:
- Article
Macroeconomic Announcements and the Implied Volatility Index: Evidence from India VIX.
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- Margin: The Journal of Applied Economic Research, 2013, v. 7, n. 4, p. 417, doi. 10.1177/0973801013500168
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- Publication type:
- Article
On the relationship of implied, realized and historical volatility: evidence from NSE equity index options.
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- Journal of Business Economics & Management, 2014, v. 15, n. 5, p. 915, doi. 10.3846/16111699.2013.793605
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- Publication type:
- Article
THE BEHAVIOR OF OPTION'S IMPLIED VOLATILITY INDEX: A CASE OF INDIA VIX.
- Published in:
- 2015
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- Publication type:
- Case Study
Resilience of Indian banks: Macroeconomic stress test modeling for credit risk.
- Published in:
- Journal of Public Affairs (14723891), 2022, v. 22, n. 1, p. 1, doi. 10.1002/pa.2350
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- Publication type:
- Article
Hidden Leverage in Conglomerates: An Unintended Systemic Risk.
- Published in:
- IUP Journal of Applied Finance, 2018, v. 24, n. 1, p. 5
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- Publication type:
- Article