Stock market linkages: Evidence from the US, China and India during the subprime crisis A Singh, K Parneet Timisoara Journal of Economics and Business 8 (1), 137-162, 2015 | 28 | 2015 |
Do BRIC countries’ equity markets co-move in long run? A Singh, P Kaur Theoretical Economics Letters 6 (02), 119, 2016 | 23 | 2016 |
What drives innovation in micro, small, and medium enterprises? N Kaur, P Kaur Journal of Public Affairs, e2336, 2020 | 21 | 2020 |
Firm innovation and access to finance: firm-level evidence from India P Kaur, N Kaur, P Kanojia Journal of Financial Economic Policy 14 (1), 93-112, 2022 | 18 | 2022 |
Spatial spillover of product innovation in the manufacturing sector: evidence from India P Kaur, G Punia Nakai, N Kaur Journal of the Knowledge Economy, 1-27, 2021 | 13 | 2021 |
Measuring financial inclusion in Jammu & Kashmir state: An empirical study P Kaur, V Abrol IOSR Journal of Business and Management 20 (1), 37-44, 2018 | 13 | 2018 |
Investigating the leverage effect and volatility in the bric countries' equity markets after the US financial crisis P Kaur, A Singh The Journal of Wealth Management 17 (4), 93, 2015 | 11 | 2015 |
Modelling dynamic volatility spillovers from the US to the BRIC countries stock market during subprime crisis PK Amanjot Singh Indian journal of Finance 9 (8), 44-55, 2015 | 11 | 2015 |
A short note on information transmissions across US-BRIC equity markets: evidence from volatility spillover index A Singh, P Kaur Journal of Quantitative Economics 15 (1), 197-208, 2017 | 9 | 2017 |
Examining the determinants of financial inclusion in Jammu and Kashmir state V Abrol, P Kaur IOSR Journal of Business and Management 20 (3), 7-11, 2018 | 5 | 2018 |
Ownership structure, size, and interest income substitution by banks: An exploratory study in the Indian context N Kaur, P Kaur Australian Economic Papers 59 (3), 279-301, 2020 | 4 | 2020 |
Does US Financial Stress Explain Risk–Return Dynamics in Indian Equity Market? A Logistic Regression Approach A Singh, P Kaur Vision 21 (1), 13-22, 2017 | 4 | 2017 |
BSE SME Equity Financing Platform: A study of Index Risk-Return Paradox A Singh, P Kaur Indian Journal of Economics and Development 12 (2), 273-282, 2016 | 4 | 2016 |
Internationalisation of Indian SMEs: problems and prospects N Arora, P Kaur International Journal of Economics and Business Research 21 (2), 180-205, 2021 | 2 | 2021 |
Income diversification and Bank stability: Evidence from India N Kaur, S Srivatsav, N Jadiyappa, P Kaur Available at SSRN 3340806, 2018 | 2 | 2018 |
IMPACT OF THE FII'S INDIAN EQUITY INVESTMENT BEHAVIOR ON THE BRIC COUNTRIES'STOCK MARKET VOLATILITY DURING THE SUBPRIME CRISIS. AN EMPIRICAL INVESTIGATION. A Singh, P Kaur Journal of Academic Research in Economics 6 (3), 2014 | 2 | 2014 |
Trends in the deposits of credit cooperatives in Punjab after financial sector reforms M Singh, P Kaur Management Convergence 1 (2), 10-21, 2011 | 2 | 2011 |
Why me? The Saga of public sector banks under prompt corrective action N Kaur, P Kaur The Saga of Public Sector Banks under Prompt Corrective Action (July 18, 2019), 2019 | 1 | 2019 |
New Allies for BRICS-Egypt or Indonesia P Kaur, K Kaur Abhigyan 33 (3), 16-27, 2015 | 1 | 2015 |
Income diversification patterns and their impact on bank risk P Kaur, A Bansal Australian Economic Papers, 2024 | | 2024 |