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That risk measurement is the key to effective and efficient risk management needs no emphasis. This paper examines sensitivity of stock returns of 30 Indian banks (included in CNX500 index) to three risk factors -- interest rate, inflation rate and fluctuation in exchange rate. The study uses...
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Corporate risk management: An introduction -- Research methodology -- Normative framework for risk index and its empirical analysis -- Normative framework for risk disclosure index and its empirical analysis -- Normative framework for risk governance index and its empirical analysis -- Examining...
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