Please use this identifier to cite or link to this item: http://hdl.handle.net/10603/435324
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dc.coverage.spatial
dc.date.accessioned2023-01-03T07:03:57Z-
dc.date.available2023-01-03T07:03:57Z-
dc.identifier.urihttp://hdl.handle.net/10603/435324-
dc.description.abstractnewline
dc.format.extent
dc.languageEnglish
dc.relation
dc.rightsuniversity
dc.titleAnalysing the financial market volatility from 2000 to 2010 a case study of India
dc.title.alternative
dc.creator.researcherAnand, Arohi
dc.subject.keywordEconomics
dc.subject.keywordEconomics and Business
dc.subject.keywordSocial Sciences
dc.description.note
dc.contributor.guideSinha, Saroj
dc.publisher.placePatna
dc.publisher.universityPatna University
dc.publisher.institutionDepartment of Economics
dc.date.registered2015
dc.date.completed2021
dc.date.awarded2022
dc.format.dimensions
dc.format.accompanyingmaterialDVD
dc.source.universityUniversity
dc.type.degreePh.D.
Appears in Departments:Department of Economics

Files in This Item:
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01_title.pdfAttached File99.79 kBAdobe PDFView/Open
02_prelim pages.pdf3.31 MBAdobe PDFView/Open
03_content.pdf378.11 kBAdobe PDFView/Open
04_abstract.pdf24.27 kBAdobe PDFView/Open
05_chapter 1.pdf11.54 MBAdobe PDFView/Open
06_chapter 2.pdf3.69 MBAdobe PDFView/Open
07_chapter 3.pdf5.36 MBAdobe PDFView/Open
08_chapter 4.pdf3.46 MBAdobe PDFView/Open
09_chapter 5.pdf2.44 MBAdobe PDFView/Open
10_annexures.pdf16.15 MBAdobe PDFView/Open
11_chapter 6.pdf3.78 MBAdobe PDFView/Open
80_recommendation.pdf10.07 MBAdobe PDFView/Open


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