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Journal Articles
Qualitative Research in Financial Markets 1–22.
Published: 30 December 2025
... industry in India, specifically its influence on airport tariffs and the rate of return for airport operators, with a focus on its broader regulatory and policy implications. Design/methodology/approach A qualitative research approach is adopted using in-depth interviews with key stakeholders...
Journal Articles
Journal Articles
Qualitative Research in Financial Markets (2025)
Published: 16 October 2025
... India The fraudster’s greatest liability is the certainty that the fraud is too clever to be detected. -Louis J. Freeh The corporate world is crowded with many frauds, one of the largest scandals in history over two decades, from the fall of the Wall Street darling Enron to the more...
Journal Articles
Qualitative Research in Financial Markets (2025) 17 (2): 312–347.
Published: 10 July 2024
... 39 leading fintechs in India catering across payments, lending, wealth management, regulation, neo-banks and other banking functions. Alongside fintechs, the research studies 19 leading banks (public and private) to understand the nature of bank–fintech associations in the Indian context. Design...
Journal Articles
Qualitative Research in Financial Markets (2024) 16 (3): 477–502.
Published: 15 September 2023
... insights into the findings of prior studies. Practical implications This review paper develops a comprehensive overview on Indian IPO market which can be of interest not only to Indian scholarship. India as an economy is increasingly gaining attention at the global level. Hence, the future research...
Journal Articles
Qualitative Research in Financial Markets (2023) 15 (5): 841–887.
Published: 17 February 2023
... is observed in the allocation of wealth in developed countries. According to the Reserve Bank of India HF report (2017), an Indian household allocates 77% of its wealth to real estate, 11% to gold and 5% to financial assets. Similarly, an average household in China allocates 62% of wealth to real estate...
Journal Articles
Qualitative Research in Financial Markets (2023) 15 (2): 361–384.
Published: 28 November 2022
... industry while adopting the technology. Design/methodology/approach The study adopted a qualitative approach to explore the challenges faced by the banking industry in India. Semi-structured in-depth interviews with senior executives and academicians in the finance and the information technology...
Journal Articles
Qualitative Research in Financial Markets (2021) 13 (5): 549–579.
Published: 16 August 2021
... and Exchange Board of India (SEBI) requires companies to disclose their risks in the management discussion and analysis (MD&A) section of annual reports, however, the contents and nature of the disclosure have been left to the discretion of companies. Therefore, studying risk disclosure of Indian firms may...
Journal Articles
Qualitative Research in Financial Markets (2021) 13 (5): 692–709.
Published: 24 July 2021
...Noor Ulain Rizvi; Smita Kashiramka; Shveta Singh Purpose This paper aims to develop a holistic understanding of the state of implementation of the Basel III regulation in India. It offers essential insights related to its impact on the macroeconomy, non-performing assets, capital flows...
Journal Articles
Qualitative Research in Financial Markets (2018) 10 (3): 285–308.
Published: 17 August 2018
...Shigufta Hena Uzma Purpose This paper aims to study from three perspectives: the developed countries corporate governance (CG) practices, the role of OECD in the global convergence of CG standards and India as an emerging country. Design/methodology/approach The paper reviews the various CG...
Journal Articles
Qualitative Research in Financial Markets (2018) 10 (3): 324–342.
Published: 14 August 2018
...H. Kent Baker; Sujata Kapoor; Imad Jabbouri Purpose This study aims to examine dividend policy from the perspective of institutional investors in India. It focuses on the level of importance these investors attach to the dividend policy of their investee firms, the level of influence they exercise...
Journal Articles
Qualitative Research in Financial Markets (2015) 7 (4): 429–444.
Published: 02 November 2015
...Shagun Thukral; Sharada Sridhar; Medha Shriram Joshi Purpose – The paper aims to understand the factors that have limited the development of this market in India. With a conservative bank-based economy in the backdrop and with the Central Bank pulling the strings, the sovereign debt market...
Journal Articles
Qualitative Research in Financial Markets (2012) 4 (1): 6–25.
Published: 06 April 2012
... has been done to understand the Indian individual investor. The purpose of this paper is to study the Individual investor in India: to segment the investor into distinct behavioural groups based on their biases; to understand the investment preferences and profile of the identified segments...

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