Finance

Name Date published Author
A Social Accounting Matrix for Pakistan, 2001-02: Methodology and Results January 2006
Mutual Fund Performance in Pakistan, 1995-2004 January 2006
Direction-of-Change Forecasts Based on Conditional Variance, Skewness and Kurtosis Dynamics: International Evidence January 2006
Multi Factor SUR in Event Study Analysis: Evidence from M&A in Singapore’s Financial Industry January 2006
Risk-return Efficiency, Financial Distress Risk, and Bank Financial Strength Ratings January 2010
Japan’s Foreign Direct Investment Experiences in India: Lessons Learnt from Firm Level Surveys January 2009
Call auctions: A solution to some difficulties in Indian finance January 2010
Financial Development: A Broader Perspective January 2010
Temporal Aggregation and Risk-Return Relation January 2007
Financial Liberalisation, Crises, and Economic Growth January 2007
Stock Market Liberalisations in the South Asian Region January 2006
Japanese FDI in China – Determinants and performance January 2009
Modeling Transaction Data of Trade Direction and Estimation of Probability of Informed Trading January 2007
DOES STOCK MARKET LIBERALISATION BENEFIT THE ECONOMY? EVIDENCE FROM INDUSTRY-LEVEL DATA January 2005
Time-Varying Currency Betas: Evidence from Developed and Emerging Markets January 2009
Financial Crisis, Trade Finance, and SMEs: Case of Central Asia January 2010
OTC Derivatives Market in India: Recent Regulatory Initiatives and Open Issues for Market Stability and Development January 2010
Lessons of the European Crisis for Regional Monetary and Financial Integration in East Asia February 2012
Regional and Global Monetary Cooperation February 2012
Strengthening Financial Infrastructure February 2012