Global Crisis and the Integration of India's Stock Market
Sarat Dhal
Journal of Economic Integration. 2009;24(4):778-805.   Published online 2009 Dec 1     DOI: https://doi.org/10.11130/jei.2009.24.4.778
Citations to this article as recorded by Crossref logo
Volatility spillover among the sectors of emerging and developed markets: a hedging perspective
Satyaban Sahoo, Sanjay Kumar
Cogent Economics & Finance.2024;[Epub]     CrossRef
Do Financial Assets Move in Tandem During High Impact Period of a Crisis: Evidence from Global Financial Crisis and COVID-19 Pandemic Periods
Rakesh Shahani, Riya Paliwal
Jindal Journal of Business Research.2023; 12(2): 119.     CrossRef
Return and volatility spillover between India and leading Asian and global equity markets: an empirical analysis
Aswini Kumar Mishra, Saksham Agrawal, Jash Ashish Patwa
Journal of Economics, Finance and Administrative S.2022; 27(54): 294.     CrossRef
IMPACT OF COVID-19 ON LONG RUN AND SHORT RUN FINANCIAL INTEGRATION AMONG EMERGING ASIAN STOCK MARKETS
Nikhil Bhardwaj, Nishi Sharma, Anupreet Kaur Mavi
Business, Management and Economics Engineering.2022; 20(02): 189.     CrossRef
The interdependence between developing and developed stock markets: The case of the Macedonian, Belgrade, six Swiss and Euronext Paris stock exchange
Dušica Stevčevska-Srbinoska, Jadranka Mrsik, Egor Sekuloski, Tome Nenovski
Serbian Journal of Management.2021; 16(2): 377.     CrossRef
Risk, uncertainty and stock returns predictability – a case of emerging equity markets
Rakesh Kumar
Journal of Financial Economic Policy.2018; 10(4): 438.     CrossRef