Volume 2 - 2012 Issue 1

Risk Governance and Control: Financial Markets & Institutions

Contents

Viewed: 43Downloads: 39


APPLICATION OF MARKOWITZ MODEL IN ANALYSING RISK AND RETURN A CASE STUDY OF BSE STOCK

Manas Pandey

DOI:10.22495/rgcv2i1art1

Viewed: 334Downloads: 75


THE CONTINUOUS MARKET CYCLE OF THE SHORTTERM INSURANCE INDUSTRY

L Essel, F J Mostert, J H Mostert

DOI:10.22495/rgcv2i1art3

Viewed: 150Downloads: 46


VENTURE CAPITAL AND RISK MANAGEMENT: EVIDENCE FROM INITIAL PUBLIC OFFERINGS

Charles E. Bamford, Edward B. Douthett, Jr.

DOI:10.22495/rgcv2i1art4

Viewed: 133Downloads: 48


THE EFFECT OF SPECIFIC SHARE REPURCHASES ON SOUTH AFRICAN PAYOUT RATIOS: AN EXPLORATORY STUDY

Annalien de Vries, Pierre D. Erasmus, Willie D. Hamman, Nicolene Wesson

DOI:10.22495/rgcv2i1art5

Viewed: 106Downloads: 44


FACTORS AFFECTING BANK GOVERNANCE IN MALAYSIA

Wan Masliza, Wan Mohammad, Rapiah Mohd Zaini, Haslina Hassan, Takunda Guest Charumbira

DOI:10.22495/rgcv2i1art6

Viewed: 128Downloads: 52