647 results on '"Tiwari, Aviral Kumar"'
Search Results
2. An improved transformer model with multi-head attention and attention to attention for low-carbon multi-depot vehicle routing problem
3. Correlation and price spillover effects among green assets
4. Bitcoin, Fintech stocks and Asian Pacific equity markets: a dependence analysis with implications for portfolio management
5. Does crude oil price volatility affect risk-taking capability in business group firms: evidence from India?
6. Interbank systemic risk network in an emerging economy
7. Decoding mood of the Twitterverse on ESG investing: opinion mining and key themes using machine learning
8. How does ownership of insiders and institutions affect future value? Influence of country-level governance
9. Consumer sentiments across G7 and BRICS economies: Are they related?
10. The Dynamic Relationship Between Gas and Crude Oil Markets and the Causal Impact of US Shale Gas
11. Nuclear energy, human capital, and urbanization tackling environmental concerns in India: evidence from QARDL and quantile co-integration
12. Exploring the asymmetric effect of fiscal policy instruments in encountering environmental degradation: proposing an SDG framework for India
13. A cross-quantile correlation and causality-in-quantile analysis on the relationship between green investments and energy commodities during the COVID-19 pandemic period
14. Are FinTech, Robotics, and Blockchain index funds providing diversification opportunities with emerging markets?Lessons from pre and postoutbreak of COVID-19
15. Time-frequency information transmission among financial markets: evidence from implied volatility
16. Electric vehicles in transition: Opportunities, challenges, and research agenda – A systematic literature review
17. Big data and machine learning-based decision support system to reshape the vaticination of insurance claims
18. Technological innovation, globalization and ecological quality: A disaggregated ecological footprint approach for BRICS countries
19. Revisiting the determinants of cryptocurrency excess return: Does scarcity matter?
20. Economic activities, dry bulk freight, and economic policy uncertainties as drivers of oil prices: A tail-behaviour time-varying causality perspective
21. The role of green bonds on industrial sustainability for achieving carbon neutrality: Evidence from the artificial neural network method
22. Asymmetry in returns and volatility between green financial assets, sustainable investments, clean energy, and international stock markets
23. Connectedness among diverse financial assets: Evidence from cryptocurrency uncertainty indices
24. Assessing the impact of renewable energy and non-renewable energy use on carbon emissions: evidence from select developing and developed countries
25. Nexus between biomass energy, economic growth, and ecological footprints: empirical investigation from belt and road initiative economies
26. Demystifying circular economy and inclusive green growth for promoting energy transition and carbon neutrality in Europe
27. Public and scholarly interest in social robots: An investigation through Google Trends, bibliometric analysis, and systematic literature review
28. Extreme downside risk connectedness and portfolio hedging among the G10 currencies
29. The role of green growth and institutional quality on environmental sustainability: A comparison of CO2 emissions, ecological footprint and inverted load capacity factor for OECD countries
30. Monetary policy uncertainty and ESG performance across energy firms
31. Dynamic dependence and spillover among the energy related ETFs: From the hedging effectiveness perspective
32. Oil price volatility and changes in corporate debt: An empirical study in the Indian landscape
33. Tail risk intersection between tech-tokens and tech-stocks
34. Geopolitical risk and firm-level environmental, social and governance (ESG) performance
35. Investor personality as a predictor of investment intention – mediating role of overconfidence bias and financial literacy
36. The impact of cryptocurrencies on the gold, WTI, VIX index, G7 and BRICS index before and during COVID-19: a quantile regression and NARDL analysis
37. The Threshold Role of FDI Flows in the Energy-Growth Nexus: An Endogenous Growth Perspective
38. Risk Connectedness Between Green and Conventional Assets with Portfolio Implications
39. The role of ICT diffusion and institutional quality on financial inclusion in Asian region: empirical analysis using panel quantile regression
40. Exploring the asymmetric effect of fiscal decentralization on economic growth and environmental quality: evidence from India
41. Asymmetric and frequency-domain spillover effects among industrial metals, precious metals, and energy futures markets
42. Risk synchronization in Australia stock market: A sector analysis
43. Analyzing the effectiveness of energy aid for driving the transition towards energy decarbonization; Evidence from Asian developing countries
44. Time-varying causality and correlations between spot and futures prices of natural gas, crude oil, heating oil, and gasoline
45. Unraveling the crystal ball: Machine learning models for crude oil and natural gas volatility forecasting
46. From aid to resilience: Assessing the impact of climate finance on energy vulnerability in developing countries
47. Implications of circular economy, digitalization and technological innovation to achieve sustainable environmental goal: Pre and post-vision 2030
48. Decoding the digital leap: Exploring the role of global value chains in driving country-level digitalization
49. Impacts of renewable energy on climate risk: A global perspective for energy transition in a climate adaptation framework
50. Energy-growth nexus for ‘Renewable Energy Country Attractiveness Index’ countries: Evidence from new econometric methods
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