Globalisation and liberalisation over the last two decades have led to the emergence of capital markets, flexible exchange rate regimes and the removal of controls on capital flows the world over. India has been no exception, with the introduction of unified exchange rate system, openness of investment in equity and debt sectors by NRIs and FIIs, and financial innovation in international traded financial products. All this has brought the financial markets to centre stage of the economy. One can observe the rampant fluctuations of exchange rates and stock price since 1997 in Indian Financial Markets. This has been exhaustively deliberated in the financial press and among academicians, and domestic as well as international investors. This has necessitated the understanding of the interlinkages between the financial markets, their volatility spillovers and integration with the global financial markets and also diversification of the portfolio risk with concentration in asset,sector and geography.This book is an endeavour in this direction.This book is meant for Finance and International Finance specialisation students and for the trading and investor community of the financial world.
Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.
Globalisation and liberalisation over the last two decades have led to the emergence of capital markets, flexible exchange rate regimes and the removal of controls on capital flows the world over. India has been no exception, with the introduction of unified exchange rate system, openness of investment in equity and debt sectors by NRIs and FIIs, and financial innovation in international traded financial products. All this has brought the financial markets to centre stage of the economy. One can observe the rampant fluctuations of exchange rates and stock price since 1997 in Indian Financial Markets. This has been exhaustively deliberated in the financial press and among academicians, and domestic as well as international investors. This has necessitated the understanding of the interlinkages between the financial markets, their volatility spillovers and integration with the global financial markets and also diversification of the portfolio risk with concentration in asset,sector and geography.This book is an endeavour in this direction.This book is meant for Finance and International Finance specialisation students and for the trading and investor community of the financial world.
Alok Kumar Mishra is Assistant Professor of Economics, University of Hyderabad. He has worked as Research Officer in NIBM, Pune,Manager of Finance in Evalueserve.com and AVP in Bank of New York Mellon. Iti Vyas is RTA in IGNOU Delhi. She received her M.Phil.in Economics from IGNOU and Master from Gokhale Institute of Politics and Economics,Pune.
Alok Kumar Mishra is Assistant Professor of Economics, University of Hyderabad. He has worked as Research Officer in NIBM, Pune,Manager of Finance in Evalueserve.com and AVP in Bank of New York Mellon. Iti Vyas is RTA in IGNOU Delhi. She received her M.Phil.in Economics from IGNOU and Master from Gokhale Institute of Politics and Economics,Pune.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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Taschenbuch. Etat : Neu. Linkage Dynamics of Indian Financial Markets | A Theoretical and Empirical Perspective | Alok Kumar Mishra (u. a.) | Taschenbuch | Englisch | VDM Verlag Dr. Müller | EAN 9783639344424 | Verantwortliche Person für die EU: preigu GmbH & Co. KG, Lengericher Landstr. 19, 49078 Osnabrück, mail[at]preigu[dot]de | Anbieter: preigu. N° de réf. du vendeur 107051776
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Taschenbuch. Etat : Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - Globalisation and liberalisation over the last two decades have led to the emergence of capital markets, flexible exchange rate regimes and the removal of controls on capital flows the world over. India has been no exception, with the introduction of unified exchange rate system, openness of investment in equity and debt sectors by NRIs and FIIs, and financial innovation in international traded financial products. All this has brought the financial markets to centre stage of the economy. One can observe the rampant fluctuations of exchange rates and stock price since 1997 in Indian Financial Markets. This has been exhaustively deliberated in the financial press and among academicians, and domestic as well as international investors. This has necessitated the understanding of the interlinkages between the financial markets, their volatility spillovers and integration with the global financial markets and also diversification of the portfolio risk with concentration in asset,sector and geography.This book is an endeavour in this direction.This book is meant for Finance and International Finance specialisation students and for the trading and investor community of the financial world. N° de réf. du vendeur 9783639344424
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