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Volume 43, Issue 1, April 2017
Volume 43, Issue 1, April 2017
Published:
2017-08-16
Foreword
Foreword
Manas Kumar Thakur
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DOI:
https://doi.org/10.33516/rb.v43i1.p
Message from the Director, NISM
Message form Director-NISM
Sandip Ghose
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DOI:
https://doi.org/10.33516/rb.v43i1.p
Chairman Communique
Chairman’s Communiqué
Avijit Goswami
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DOI:
https://doi.org/10.33516/rb.v43i1.p
Editoral Note
Editor’s Note
Debaprosanna Nandy
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DOI:
https://doi.org/10.33516/rb.v43i1.p
Articles
A Study of Association between Market Value added and Earning-Based Measures (EBM) Vis-Ã -Vis Value-Based Performance Measures (VBM) - An Empirical Study of BSE SENSEX Companies
Avijit Sikdar
1-24
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DOI:
https://doi.org/10.33516/rb.v43i1.1-24p
A Study on Behavioral Biases among Selective Indian Investors
Arindam Banerjee, Anupam De, Gautam Bandyopadhyay
25-37
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DOI:
https://doi.org/10.33516/rb.v43i1.25-37p
2016: A Quantum Leap for Indian Corporate Bond Markets
Shagun Thukral
38-50
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DOI:
https://doi.org/10.33516/rb.v43i1.38-50p
Bangladesh Stock Market Bubble Burst: The Transgression of Economic Factors
Habibullah, Syed Zabid Hossain
51-63
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DOI:
https://doi.org/10.33516/rb.v43i1.51-63p
BREXIT and Fluctuations in the Share Market in India and Abroad
Sharmistha Ghosh
64-73
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DOI:
https://doi.org/10.33516/rb.v43i1.64-73p
Business Start Ups and Alternate Routes of Investment: New Paradigms of Entrepreneurial Financing in India
Manoj Pillai
74-86
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DOI:
https://doi.org/10.33516/rb.v43i1.74-86p
Cobweb Theorem: Signals from Indian Commodity Markets, with Specific Reference to Pulses
Sunder Ram Korivi, Rachappa Shette
87-96
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DOI:
https://doi.org/10.33516/rb.v43i1.87-96p
Green Bond: A Socially Responsible Investment (SRI) Instrument
Pradiptarathi Panda
97-113
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DOI:
https://doi.org/10.33516/rb.v43i1.97-113p
Impact of Price Limit on Stock Performance
Latha Chari, Mohd Merajuddin Inamdar
114-122
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https://doi.org/10.33516/rb.v43i1.114-122p
Impact of Quarterly Results Announcement on Share Price: Evidence from India
Subhendu Kumar Pradhan, R. Kasilingam
123-134
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https://doi.org/10.33516/rb.v43i1.123-134p
Monetary variables and Stock Market Returns – The Indian Experience
Gholam Syedain Khan, Malayendu Saha
135-154
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https://doi.org/10.33516/rb.v43i1.135-154p
Mutual Funds as Anchors of Risk: Evidence from Indian Equity Funds
K. V. Kiran Kumar, P. S. V. Balaji Rao
155-165
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https://doi.org/10.33516/rb.v43i1.155-165p
Sharpe Single Index Model: Evidence from Bombay stock Exchange (BSE) in India
Rashmi Ahuja
166-179
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DOI:
https://doi.org/10.33516/rb.v43i1.166-179p
About the Institute
About the Institute
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DOI:
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