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