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Institution: Faculty of Management Studies, University of Delhi

Number of items: 15.

Kasat, Puja (2010): Innovative Approaches to Developmental Microfinance in India. Unpublished.

Manjrekar, Rajesh and Sinha, Pankaj (2010): Myopic investment view of the Indian mutual fund industry. Unpublished.

Sinha, Pankaj; Arya, Deepshikha and Singh, Shuchi (2012): Evolution of Financing Needs in Indian Infrastructure. Unpublished.

Sinha, Pankaj and Dutta, Dipanwita (2011): Modelling profitability of Indian banks. Unpublished.

Sinha, Pankaj and Gupta, Akshay (2011): Analysis of WIMAX/BWA Licensing in India: A real option approach. Unpublished.

Sinha, Pankaj; Gupta, Akshay and Mudgal, Hemant (2010): Active Hedging Greeks of an Options Portfolio integrating churning and minimization of cost of hedging using Quadratic & Linear Programing. Unpublished.

Sinha, Pankaj and Gupta, Sushant (2011): Mergers and Acquisitions: A pre-post analysis for the Indian financial services sector. Unpublished.

Sinha, Pankaj; Gupta, Sushant and Randev, Nakul (2010): Modeling & Forecasting of Macro-Economic Variables of India: Before, During & After Recession. Unpublished.

Sinha, Pankaj and Jayaraman, Prabha (2009): Robustness of Bayesian results for Inverse Gaussian distribution under ML-II epsilon-contaminated and Edgeworth Series class of prior distributions. Unpublished.

Sinha, Pankaj and Jayaraman, Prabha (2009): Bayes reliability measures of Lognormal and inverse Gaussian distributions under ML-II ε-contaminated class of prior distributions. Unpublished.

Sinha, Pankaj and Jayaraman, Prabha (2010): Robustness of Bayes decisions for normal and lognormal distributions under hierarchical priors. Unpublished.

Sinha, Pankaj and Jayaraman, Prabha (2012): Empirical analysis of the forecast error impact of classical and bayesian beta adjustment techniques. Unpublished.

Sinha, Pankaj and Mudgal, Hemant (2011): Valuation of 3G spectrum license in India: A real option approach. Unpublished.

Sinha, Pankaj; Sharma, Gopalakrishna; Shah, Akash and Singh, Abhijeet (2011): Algorithms for merging tick data and data analysis for Indian financial market. Unpublished.

Sinha, Pankaj; Taneja, Varundeep Singh and Gothi, Vineet (2009): Evaluation of riskiness of Indian Banks and probability of book value insolvency. Unpublished.

This list was generated on Fri May 25 00:48:36 2012 CEST.
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