Skip to main content
Skip to main navigation menu
Skip to site footer
Open Menu
Home
Issues
Current
Archives
Editorial Team
For Authors
Submissions
Article Types
Disclosure Form
Guidelines for Authors
Ethics & Policy
Call for Papers
Subscription
Subscription / Renewal Form
Register
Login
Search
Join as Reviewer
Message from the New EiC
Announcements
Contact Us
Register
Login
Home
/
Archives
/
Volume 9, Issue 8, August 2015
Volume 9, Issue 8, August 2015
Published:
2015-07-31
Articles
An Empirical Model of India's Nifty VIX Index
Ronald T. Slivka, Shuang Gao, Jie Ren
7-18
PDF
DOI:
https://doi.org/10.17010/ijf/2015/v9i8/74559
A Test of Alternative Value-at-Risk Models During Volatile Periods
Aparna Prasad Bhat
19-33
PDF
DOI:
https://doi.org/10.17010/ijf/2015/v9i8/74560
Currency Risk Management Practices of Indian Export SMEs: A Descriptive Study
S. Vasumathy
34-44
PDF
DOI:
https://doi.org/10.17010/ijf/2015/v9i8/74561
Modelling Dynamic Volatility Spillovers from the U.S. to the BRIC Countries' Stock Markets During the Subprime Crisis
Amanjot Singh, Parneet Kaur
45-55
PDF
DOI:
https://doi.org/10.17010/ijf/2015/v9i8/74562