Please use this identifier to cite or link to this item: http://hdl.handle.net/11718/25251
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dc.contributor.authorVarma J.R.
dc.date.accessioned2022-02-11T10:14:16Z-
dc.date.available2022-02-11T10:14:16Z-
dc.date.issued2011
dc.identifier.citationVarma, J. R. (2011). Finance teaching and research after the global financial crisis. Vikalpa, 36(4). https://doi.org/10.1177/0256090920110401
dc.identifier.issn2560909
dc.identifier.urihttps://www.doi.org/10.1177/0256090920110401
dc.identifier.urihttp://hdl.handle.net/11718/25251-
dc.language.isoen_US
dc.publisherSAGE Publications Ltd
dc.relation.ispartofVikalpa
dc.subjectAgent-based models
dc.subjectBayesian estimation
dc.subjectBehavioural finance
dc.subjectMarket microstructure
dc.subjectNetwork theory
dc.subjectNeuroscience
dc.subjectPost-crisis world
dc.subjectRisk aversion
dc.subjectTail risk
dc.titleFinance teaching and research after the global financial crisis
dc.typeArticle
dc.rights.licenseCC BY-NC, CC BY
dc.contributor.affiliationIndian Institute of Management, Ahmedabad, India
dc.contributor.institutionauthorVarma, J.R., Indian Institute of Management, Ahmedabad, India
dc.description.scopusid55903337300
dc.identifier.doi10.1177/0256090920110401
dc.identifier.endpage15
dc.identifier.startpage1
dc.identifier.issue4
dc.identifier.volume36
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