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Optimal allocation in a portfolio containing stock with heavy-tailed returns under disappointment aversion utility functions
(Indian Institute of Management Ahmedabad, 2006)
Non markowitz approach for portfolio selection
(Indian Institute of Management Ahmedabad, 2006)
Inter-temporal correlation structure of cross-country technology diffusion: an application of the generalized lotkav olterra model
(Indian Institute of Management Ahmedabad, 2006)
One can unequivocally concede that we exist in a world of ‘unequal’ microeconomic units, with the disparities in the technological prowess among various nations serving as a prime example of this hegemony. Given the dense ...
Developing an educational model with the twin objectives of providing quality formal education and promoting enterpreneurship through micro industry linkage in remote and inaccessible areas in India
(Indian Institute of Management , Ahmedabad, 2006)