Browsing All of EconStor by Author Sarkar, Nityananda
Showing results 1 to 8 of 8
Year of Publication | Title | Author(s) |
2013 | Stock Returns Under Alternative Volatility and Distributional Assumptions: The Case for India | Mukhopadhyay, Debabrata; Sarkar, Nityananda |
2014 | Forecasting House Prices in the United States with Multiple Structural Breaks | Barari, Mahua; Sarkar, Nityananda; Kundu, Srikanta; Chowdhury, Kushal Banik |
2015 | Comparison of the r - (k, d) Class Estimator with some Estimators for Multicollinearity under the Mahalanobis Loss Function | Chandra, Shalini; Sarkar, Nityananda |
2015 | The Effect of Inflation on Inflation Uncertainty in the G7 Countries: A Double Threshold GARCH Model | Chowdhury, Kushal Banik; Sarkar, Nityananda |
2016 | Is the Effect of Risk on Stock Returns Different in Up and Down Markets? A Multi-Country Study | Kundu, Srikanta; Sarkar, Nityananda |
2019 | Demonetization and Its Effects on BSE SENSEX and Some Sectoral Indices: An Exploratory Econometric Analysis | Mukhopadhyay, Debabrata; Sarkar, Nityananda |
2021 | Do green indices outperform BSESENSEX and energy indices in India? Some evidence on investors' commitment towards green investing | Mukhopadhyay, Debabrata; Sarkar, Nityananda |
2022 | Analyzing the trend in COVID-19 data: The structural break approach | Sarkar, Nityananda; Chowdhury, Kushal Banik |