Vol 9, No 1 (2022)

Table of Contents

Vol 9, No 1 (2022)

Articles

Asset Correlation and the Optimal Portfolio Size Determination – Case of Nifty 50 and NASDAQ 100 Indices
Himanshu Joshi
DOI:10.17010/ijrcm/2022/v9i1/170400 ,  Vol 9, No 1 (2022), Pagination: 8-17
ABSTRACT | Abstract Views: 26  |  PDF Views: 0
Intelligent Stock Trading Strategy Based on Aroon Indicator
Arjun Sing Saud, Subarna Shakya, Bindu Neupane
DOI:10.17010/ijrcm/2022/v9i1/170401 ,  Vol 9, No 1 (2022), Pagination: 18-29
ABSTRACT | Abstract Views: 27  |  PDF Views: 0
Covid-19 and the Indian Stock Market Behaviour : Do Government Initiatives Really Matter?
Sanjeeb Kumar Dey, Debabrata Sharma
DOI:10.17010/ijrcm/2022/v9i1/170402 ,  Vol 9, No 1 (2022), Pagination: 30-39
ABSTRACT | Abstract Views: 25  |  PDF Views: 0