Статті в журналах з теми "Stock market- India"
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G. C, Surya Bahadur, Ranjana Kothari, and Rajesh Kumar Thagurathi. "Volatility Spillover Effect in Indian Stock Market." Janapriya Journal of Interdisciplinary Studies 5 (July 21, 2017): 83–101. http://dx.doi.org/10.3126/jjis.v5i0.17842.
Повний текст джерелаG Nagarakatte, Sangeetha, and Natchimuthu Natchimuthu. "Return and volatility spillover between India, UK, USA and European stock markets: The Brexit impact." Investment Management and Financial Innovations 19, no. 1 (February 8, 2022): 121–34. http://dx.doi.org/10.21511/imfi.19(1).2022.09.
Повний текст джерелаDayanandan, Ajit, and Jaspreet Kaur Sra. "Accrual management and expected stock returns in India." Journal of Accounting in Emerging Economies 8, no. 4 (November 5, 2018): 426–41. http://dx.doi.org/10.1108/jaee-08-2016-0073.
Повний текст джерелаJaiteley, Rudra. "A comparative Study of Chinese and Indian Stock Markets." Journal of Management and Strategy 12, no. 2 (May 18, 2021): 18. http://dx.doi.org/10.5430/jms.v12n2p18.
Повний текст джерелаAgnihotri, Shalini, and Kanishk Chauhan. "Modeling tail risk in Indian commodity markets using conditional EVT-VaR and their relation to the stock market." Investment Management and Financial Innovations 19, no. 3 (July 7, 2022): 1–12. http://dx.doi.org/10.21511/imfi.19(3).2022.01.
Повний текст джерелаSrivastava, Sandeep, Surendra S. Yadav, and P. K. Jain. "Significance of Non-Price Variables in Price Discovery: An Empirical Study of Stock Option Market in India." Vikalpa: The Journal for Decision Makers 33, no. 2 (April 2008): 15–24. http://dx.doi.org/10.1177/0256090920080202.
Повний текст джерелаYadav, Miklesh Prasad, and Asheesh Pandey. "Volatility Spillover Between Indian and MINT Stock Exchanges: Portfolio Diversification Implication." Indian Economic Journal 67, no. 3-4 (December 2019): 299–311. http://dx.doi.org/10.1177/0019466220947501.
Повний текст джерелаTripathi, Vanita, and Varun Bhandari. "Socially responsible stocks: a boon for investors in India." Journal of Advances in Management Research 12, no. 2 (August 3, 2015): 209–25. http://dx.doi.org/10.1108/jamr-03-2014-0021.
Повний текст джерелаKALPAKAM, Gopalakrishnan, and Smita RAMAKRISHNA. "Contagion Effects of Covid-19 on Select Stock Market Indices." Eurasian Journal of Business and Economics 15, no. 30 (November 30, 2022): 45–61. http://dx.doi.org/10.17015/ejbe.2022.030.03.
Повний текст джерелаTrivedi, Aaditya, Tajinder Pal Singh, and Kaushal Kishore. "Impact of COVID-19 on Stock Markets: An Investigation and Way Forward." International Review of Business and Economics 5, no. 1 (2021): 1–17. http://dx.doi.org/10.56902/irbe.2021.5.1.8.
Повний текст джерелаMaheshwari, Supriya, and Raj S. Dhankar. "Market State and Investment Strategies: Evidence from the Indian Stock Market." IIM Kozhikode Society & Management Review 7, no. 2 (July 2018): 154–70. http://dx.doi.org/10.1177/2277975218769501.
Повний текст джерелаThangamuthu, Mohanasundaram, and Karthikeyan Parthasarathy. "Cointegration and stock market interdependence: Evidence from South Africa, India and the USA." South African Journal of Economic and Management Sciences 18, no. 4 (November 27, 2015): 475–85. http://dx.doi.org/10.4102/sajems.v18i4.1029.
Повний текст джерелаDash, Mihir, and Rita S. "A Vector Autoregressive Market Model for IT Sector Stocks in India." Asian Journal of Finance & Accounting 13, no. 1 (June 10, 2021): 35. http://dx.doi.org/10.5296/ajfa.v13i1.18589.
Повний текст джерела(Pal), Suparna Nandy, and Arup Kr Chattopadhyay. "‘Indian Stock Market Volatility’: A Study of Inter-linkages and Spillover Effects." Journal of Emerging Market Finance 18, no. 2_suppl (June 21, 2019): S183—S212. http://dx.doi.org/10.1177/0972652719846321.
Повний текст джерелаKharka, Damber S., M. S. Turan, and K. P. Kaushik. "Stock Market Integration in South Asia." INTERNATIONAL JOURNAL OF MANAGEMENT & INFORMATION TECHNOLOGY 1, no. 2 (July 25, 2012): 8–20. http://dx.doi.org/10.24297/ijmit.v1i2.1442.
Повний текст джерелаKousar, Rehana, Zahid Imran, Qaisar Maqbool Khan, and Haris Khurram. "Impact of Terrorism on Stock Market: A Case of South Asian Stock Markets." Journal of Accounting and Finance in Emerging Economies 5, no. 2 (November 12, 2019): 215–42. http://dx.doi.org/10.26710/jafee.v5i2.852.
Повний текст джерелаRawlin, Rajveer S., and Satya Surya Narayana Raju Pakalapati. "Forecasting Stock Prices of Select Indian Private Sector Banks – A Time Series Approach." SDMIMD Journal of Management 13, no. 1 (March 1, 2022): 35. http://dx.doi.org/10.18311/sdmimd/2022/29270.
Повний текст джерелаKirkulak Uludag, Berna, and Muzammil Khurshid. "Volatility spillover from the Chinese stock market to E7 and G7 stock markets." Journal of Economic Studies 46, no. 1 (January 7, 2019): 90–105. http://dx.doi.org/10.1108/jes-01-2017-0014.
Повний текст джерелаChellaswamy, Karthigai Prakasam, Natchimuthu N, and Muhammadriyaj Faniband. "Stock Market Reforms and Stock Market Performance." International Journal of Financial Research 12, no. 2 (January 14, 2021): 202. http://dx.doi.org/10.5430/ijfr.v12n2p202.
Повний текст джерелаBagade, Mr Ketan, and Prof Varsha Bhosale. "Artificial Intelligence based Stock Market Prediction Model using Technical Indicators." International Journal of Innovative Technology and Exploring Engineering 11, no. 6 (May 30, 2022): 34–39. http://dx.doi.org/10.35940/ijitee.f9915.0511622.
Повний текст джерелаKinslin, D., and V. P. Velmurugan. "The Relationship between Macroeconomic Factors and Stock Market Indices Performances in Indian Stock Market." International Journal of Engineering & Technology 7, no. 4.36 (December 9, 2018): 592. http://dx.doi.org/10.14419/ijet.v7i4.36.24206.
Повний текст джерелаSadeghzadeh, Emsen. "Effects of geopolitical risks and political uncertainties on stock markets: Country specific new generation panel data analysis for developing Asian countries." Journal of Process Management and New Technologies 10, no. 1-2 (2022): 82–101. http://dx.doi.org/10.5937/jouproman2201082s.
Повний текст джерелаSadeghzadeh Emsen, Hatıra. "EFFECTS OF GEOPOLITICAL RISKS AND POLITICAL UNCERTAINTIES ON STOCK MARKETS: COUNTRY SPECIFIC NEW GENERATION PANEL DATA ANALYSIS FOR DEVELOPING ASIAN COUNTRIES." Journal of process management and new technologies 10, no. 1-2 (June 21, 2022): 82–101. http://dx.doi.org/10.5937/jpmnt10-38252.
Повний текст джерелаSweeney, Richard J., and Jianhua Zhang. "India and Pakistan Go Nuclear: The Economic Costs for India, Pakistan — and China." Review of Pacific Basin Financial Markets and Policies 02, no. 03 (September 1999): 341–73. http://dx.doi.org/10.1142/s0219091599000199.
Повний текст джерелаSeth, Neha, and Laxmidhar Panda. "Time-varying Correlation Between Indian Equity Market and Selected Asian and US Stock Markets." Global Business Review 21, no. 6 (August 7, 2019): 1354–75. http://dx.doi.org/10.1177/0972150919856962.
Повний текст джерелаVeerappa, Beeralaguddada Srinivasa. "Cointegration of Asian Stock Markets: Empirical Evidence from India." GIS Business 11, no. 5 (September 23, 2016): 25–40. http://dx.doi.org/10.26643/gis.v11i5.3412.
Повний текст джерелаSetiawan, Budi, and Muhammad Hidayat. "PENGARUH PASAR MODAL NEGARA G-3 TERHADAP PASAR MODAL ASEAN-5." Jurnal Ilmiah Ekonomi Global Masa Kini 8, no. 3 (January 8, 2018): 11–15. http://dx.doi.org/10.36982/jiegmk.v8i3.348.
Повний текст джерелаBansal, Ved Prakash. "The Effect of Seasonality over Stock Exchanges in India." Journal of Business Management and Information Systems 4, no. 1 (June 30, 2017): 65–72. http://dx.doi.org/10.48001/jbmis.2017.0401008.
Повний текст джерелаDebnath, Pradip, and Hari Mohan Srivastava. "Optimizing Stock Market Returns during Global Pandemic Using Regression in the Context of Indian Stock Market." Journal of Risk and Financial Management 14, no. 8 (August 19, 2021): 386. http://dx.doi.org/10.3390/jrfm14080386.
Повний текст джерелаMondal, Ashoke. "Impact of First Wave of Covid-19 Pandemic on Stock Returns: Evidence from the Indian Stock Market." MUDRA: Journal of Finance and Accounting 9, no. 1 (2022): 114–28. http://dx.doi.org/10.17492/jpi.mudra.v9i1.912207.
Повний текст джерелаNarula, Samridhi, and Saqib Khan. "Factors Affecting the Indian Stock Market." International Journal For Multidisciplinary Research 04, no. 04 (2022): 353–62. http://dx.doi.org/10.36948/ijfmr.2022.v04i04.038.
Повний текст джерелаBhattacharjee, Nayanjyoti, and Anupam De. "A Perspective on Industry Classification and Market Reaction to Corporate News: Evidence from India." Scientific Annals of Economics and Business 65, no. 1 (March 1, 2018): 31–50. http://dx.doi.org/10.2478/saeb-2018-0001.
Повний текст джерелаPalamalai, Srinivasan, and Karthigai Prakasam. "Stock Market Development and Economic Growth in India." International Journal of Finance & Banking Studies (2147-4486) 3, no. 3 (July 21, 2014): 30–46. http://dx.doi.org/10.20525/ijfbs.v3i3.187.
Повний текст джерелаKhan, Salleh Nawaz, and Mohamad Saad Aslam. "Co-integration of Karachi Stock Exchange with major South Asian Stock Exchanges." International Journal of Accounting and Financial Reporting 4, no. 1 (March 31, 2014): 106. http://dx.doi.org/10.5296/ijafr.v4i1.5454.
Повний текст джерелаAggarwal, Dr Mamta, Dr Meera Bamba, and Indu Bansal. "Analysing Volatility Dynamics of India and US Stock Market." International Journal for Research in Applied Science and Engineering Technology 11, no. 6 (June 30, 2023): 1821–26. http://dx.doi.org/10.22214/ijraset.2023.53957.
Повний текст джерелаUllah, Muhammad Usman Sana, Naveed Ul Haq, Hood Laeeq, and Ammar Aftab Raja. "Financial Contagion and Globalization: Evidence from South Asian Countries." International Business and Accounting Research Journal 2, no. 2 (July 6, 2018): 61. http://dx.doi.org/10.15294/ibarj.v2i2.40.
Повний текст джерелаChaudhary, Rashmi, Priti Bakhshi, and Hemendra Gupta. "The performance of the Indian stock market during COVID-19." Investment Management and Financial Innovations 17, no. 3 (September 16, 2020): 133–47. http://dx.doi.org/10.21511/imfi.17(3).2020.11.
Повний текст джерелаHiremath, Gourishankar S., Hari Venkatesh, and Manish Choudhury. "Sports sentiment and behavior of stock prices: a case of T-20 and IPL cricket matches." Review of Behavioral Finance 11, no. 3 (August 12, 2019): 266–76. http://dx.doi.org/10.1108/rbf-04-2018-0043.
Повний текст джерелаBhunia, Amalendu, and Devrim Yaman. "Opportunity or Crisis? Volatility and Leverage Effect in the World’s Largest Economies." International Journal of Accounting and Financial Reporting 9, no. 4 (October 11, 2019): 1. http://dx.doi.org/10.5296/ijafr.v9i4.15609.
Повний текст джерелаMISHRA, A. K. "THE MARKET REACTION TO STOCK SPLITS — EVIDENCE FROM INDIA." International Journal of Theoretical and Applied Finance 10, no. 02 (March 2007): 251–71. http://dx.doi.org/10.1142/s0219024907004226.
Повний текст джерелаKumar, Rakesh, and Raj S. Dhankar. "Asymmetric Volatility and Cross Correlations in Stock Returns under Risk and Uncertainty." Vikalpa: The Journal for Decision Makers 34, no. 4 (October 2009): 25–36. http://dx.doi.org/10.1177/0256090920090403.
Повний текст джерелаMohanty, Debasis, Amiya Kumar Mohapatra, Sasikanta Tripathy, and Rahul Matta. "Nexus between foreign exchange rate and stock market: evidence from India." Investment Management and Financial Innovations 20, no. 3 (July 31, 2023): 79–90. http://dx.doi.org/10.21511/imfi.20(3).2023.07.
Повний текст джерелаDe Sarkar, Partha, Surendra S. Yadav, and D. K. Banwet. "Integration of Indian Capital Markets with Global Markets: An Empirical Study." Vision: The Journal of Business Perspective 6, no. 2 (July 2002): 73–79. http://dx.doi.org/10.1177/097226290200600207.
Повний текст джерелаVenkataiah, Dr G. C., M. Yellaiah Naidu, and Dr M. Paparao. "Analysis of Influencing Factors of Investor’s Perceptions on Indian Stock Markets." Revista Gestão Inovação e Tecnologias 11, no. 4 (September 27, 2021): 5629–33. http://dx.doi.org/10.47059/revistageintec.v11i4.2587.
Повний текст джерелаQadri, Syed Usman, Naveed Iqbal, and Syeda Shamaila Zareen. "Stock Return Predictability and Market Efficiency in Pakistan; A Role of Asian Growing Economies of India and Malaysia." ANNALS OF SOCIAL SCIENCES AND PERSPECTIVE 2, no. 2 (November 24, 2021): 257–67. http://dx.doi.org/10.52700/assap.v2i2.95.
Повний текст джерелаDawar, Varun. "Earnings persistence and stock prices: empirical evidence from an emerging market." Journal of Financial Reporting and Accounting 12, no. 2 (September 30, 2014): 117–34. http://dx.doi.org/10.1108/jfra-06-2013-0044.
Повний текст джерелаAzizv, Zohaib, and Javedv Iqbalv. "Testing the Dynamic Linkages of the Pakistani Stock Market with Regional and Global Markets." LAHORE JOURNAL OF ECONOMICS 22, no. 2 (January 1, 2017): 89–116. http://dx.doi.org/10.35536/lje.2017.v22.i2.a4.
Повний текст джерелаFatima, Nudrat, Muhammad Waqas, Rameez Hassan, Ahmad Fraz, and Muhammad Arif. "Cash to Price Ratio & Stock Returns: Evidence from Emerging Markets." International Journal of Economics and Finance 9, no. 11 (October 23, 2017): 153. http://dx.doi.org/10.5539/ijef.v9n11p153.
Повний текст джерелаDubey, Tanuja. "STUDY OF WEAK FORM OF MARKET EFFICIENCY IN INDIA." International Journal of Advanced Research 11, no. 07 (July 31, 2023): 1171–78. http://dx.doi.org/10.21474/ijar01/17331.
Повний текст джерелаPalamalai, Srinivasan. "Stock Market Development and Economic Growth in India: An Empirical Analysis." International Journal of Finance & Banking Studies (2147-4486) 3, no. 3 (January 19, 2016): 30. http://dx.doi.org/10.20525/.v3i3.187.
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