Advances in Research in Business and Finance, 2005: Investment Management and Risk Management (Voloume 6)

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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.

ABOUT THE AUTHOR Chandra Sekhar Mishra

Chandra Sekhar Mishra, a faculty member of ICFAI Business School, has done his Master of Commerce and Ph.D from Utkal University. Mishra has over ten years of research and teaching experience in the area of corporate finance. He was earlier associated with the Institute of Public Enterprise, Hyderabad, where he had exposure to the areas such as public sector restructuring and disinvestments. Apart from teaching, he is also actively involved in conducting management development programs for corporates. His areas of interest are business valuation, corporate finance and corporate disclosure practices. He is the Consulting Editor of the ICFAI Journal of Accounting Research (IJAR), a refereed journal published by the ICFAI University Press.

ABOUT THE AUTHOR Jitendra Mahakud

Jitendra Mahakud has done his Ph.D from IIT Bombay. He has over three years of teaching and eight years of research experience in the area of corporate finance and financial economics. He is a faculty member of ICFAI Business School, Hyderabad. His areas of interest include investment analysis, portfolio management, corporate governance and risk management. He is the consulting editor of the ICFAI Journal of Applied Finance (IJAF), a refereed journal of the ICFAI University Press.

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Bibliographic information

Title
Advances in Research in Business and Finance, 2005: Investment Management and Risk Management (Voloume 6)
Author
Edition
1st ed.
Publisher
ISBN
813140370X
Length
172p.
Subjects