Volume 2 - 2012 Issue 1
Risk Governance and Control: Financial Markets & Institutions
APPLICATION OF MARKOWITZ MODEL IN ANALYSING RISK AND RETURN A CASE STUDY OF BSE STOCK
Manas Pandey
https://doi.org/10.22495/rgcv2i1art1
Viewed: 3508Downloads: 1078
THE CONTINUOUS MARKET CYCLE OF THE SHORT TERM INSURANCE INDUSTRY
Frederik J. Mostert
, Jan Hendrik Mostert
, Liezel Essel
https://doi.org/10.22495/rgcv2i1art3
Viewed: 503Downloads: 494
VENTURE CAPITAL AND RISK MANAGEMENT: EVIDENCE FROM INITIAL PUBLIC OFFERINGS
Charles E. Bamford, Edward B. Douthett,
https://doi.org/10.22495/rgcv2i1art4
Viewed: 623Downloads: 917
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
https://doi.org/10.22495/rgcv2i1art5
Viewed: 364Downloads: 507
FACTORS AFFECTING BANK GOVERNANCE IN MALAYSIA
Wan Masliza Wan Mohammad
, Rapiah Mohd Zaini, Haslina Hassan
, Takunda Guest Charumbira
https://doi.org/10.22495/rgcv2i1art6
Viewed: 604Downloads: 750















