Vardhan, Harsh and Vij, Madhu and Sinha, Pankaj (2013): Insight of Indian sector indices for the post subprime crisis period: a vector error correction model approach.
Vardhan, Harsh and Sinha, Pankaj (2014): Influence of Foreign Institutional Investments (FIIs) on the Indian stock market.
Vardhan, Harsh and Sinha, Pankaj (2015): Influence of Macroeconomic Variable on Indian Stock Movement: Cointegration Approach.
Sengupta, Rajeswari and Vardhan, Harsh (2017): Non-performing assets in Indian Banks: This time it is different. Published in: Economic and Political Weekly , Vol. 52, No. Issue No. 12 (25 March 2017): pp. 85-95.
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