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Autor: Rajveer S Rawlin

Rajveer S Rawlin

eBooks
6
Institution / Hochschule
CHRIST University
Beschäftigt bei
CHRIST University
Berufsstand
EMPLOYEE
Angelegt am
12.11.2011

Biographie

Rajveer Rawlin has a PhD and an MBA in finance. He is an avid market watcher, following capital markets in the US and India since 1993. His research interests include areas of Capital Markets, Banking, Investment Analysis, and Portfolio Management, and he has over 20 years of experience in the above areas. He has several publications in the above areas. He currently teaches business and management students at CHRIST University

Über mich

Avid market watcher tracking capital markets in the US & India

Info

Beschäftigt bei
CHRIST University
Berufsstand
EMPLOYEE
Angelegt am
12.11.2011
Website
https://rajveersmarketviews.blogspot.com
Karrierenetzwerk (z.B. XING, LinkedIn) o.Ä.
http://www.linkedin.com/pub/rajveer-rawlin/
Ich biete
Investment Analysis
Höchster Abschluss
PhD
Interessen
Stock Market , investing , trading

Texte (6)

  • Forecasting India's NIFTY IT Index
    Titel: Forecasting India's NIFTY IT Index
    Fach: BWL - Bank, Börse, Versicherung
    Kategorie: Masterarbeit , 2021 86 Seiten , Note: 1
    Katalognummer: 1034328
    Preis: US$ 15,99
  • Determinants of Profitability of Listed Commercial Banks in India
    Titel: Determinants of Profitability of Listed Commercial Banks in India
    Fach: BWL - Bank, Börse, Versicherung
    Kategorie: Doktorarbeit / Dissertation , 2019 250 Seiten , Note: 1
    Katalognummer: 510384
    Preis: US$ 15,99
  • Ranking Selected Public Sector Banks in India based on the Camel Rating Methodology
    Titel: Ranking Selected Public Sector Banks in India based on the Camel Rating Methodology
    Fach: BWL - Bank, Börse, Versicherung
    Kategorie: Forschungsarbeit , 2017 11 Seiten , Note: 1
    Katalognummer: 367088
    Preis: US$ 10,99
  • Modeling the NPA of a Large Indian Public Sector Bank as a Function of Total Assets
    Titel: Modeling the NPA of a Large Indian Public Sector Bank as a Function of Total Assets
    Fach: BWL - Bank, Börse, Versicherung
    Kategorie: Wissenschaftliche Studie , 2011 16 Seiten , Note: 1
    Katalognummer: 183722
    Preis: US$ 16,99
  • Multivariate Analysis to get an Estimate of the Indian Stock Market Nifty Index
    Titel: Multivariate Analysis to get an Estimate of the Indian Stock Market Nifty Index
    Fach: BWL - Bank, Börse, Versicherung
    Kategorie: Forschungsarbeit , 2011 20 Seiten , Note: 1
    Katalognummer: 182366
    Preis: US$ 16,99
  • Do Exotic options offer any specific advantages in Forex trading?
    Titel: Do Exotic options offer any specific advantages in Forex trading?
    Fach: BWL - Bank, Börse, Versicherung
    Kategorie: Masterarbeit , 2005 53 Seiten
    Katalognummer: 182029
    Preis: US$ 10,99
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