Indian Journal of Finance October

Volume 9, Issue 8, August 2015

Open Access Open Access  Restricted Access Subscription or Fee Access

Table of Contents


An Empirical Model of India's Nifty VIX Index  | 
Ronald T. Slivka, Shuang Gao, Jie Ren 7-18
Total views: 533
A Test of Alternative Value-at-Risk Models During Volatile Periods  | 
Aparna Prasad Bhat 19-33
Total views: 553
Currency Risk Management Practices of Indian Export SMEs: A Descriptive Study  | 
S. Vasumathy 34-44
Total views: 1191
Modelling Dynamic Volatility Spillovers from the U.S. to the BRIC Countries' Stock Markets During the Subprime Crisis  | 
Amanjot Singh, Parneet Kaur 45-55
Total views: 719