The growing importance of stock market investment and foreign investments in emerging as well as developed countries demands understanding and research in these areas. Different scholars have tried to measure Value at Risk (VaR) by using various sophisticated techniques for the measurement of risk and to test the weak form of efficiency in the stock market in India and USA.
Advances in Research in Business and Finance, 2005: Corporate Finance (Volume: 2)
A spectrum of writers have contributed articles and research papers in this book on the theoretical concepts of corporate finance, including dividend policies and capital structure policies. These papers question the relevance of dividend policy and capital structure in the earnings management of a firm, besides throwing light on how shareholders' wealth can be maximized with the help of dividend policies and capital structure. Read this very informative volume ...