Прати
Rama K. Malladi
Rama K. Malladi
Professor of Finance, California State University (articles before 2017 are not public).
Верификована је имејл адреса на csudh.edu - Почетна страница
Наслов
Навело
Навело
Година
Equal-weighted strategy: Why it outperforms value-weighted strategies? Theory and evidence
R Malladi, FJ Fabozzi
Journal of Asset Management 18 (3), 188-208, 2017
822017
Time series analysis of Cryptocurrency returns and volatilities
RK Malladi, PL Dheeriya
Journal of Economics and Finance 45 (1), 75-94, 2020
772020
Foreign direct investment and financial markets influences: Results from the United States
BF Yavas, RK Malladi
The North American Journal of Economics and Finance 53, 101182, 2020
272020
Predicting Bitcoin return and volatility using gold and the stock market
R Malladi, P Dheeriya, J Martinez
Quarterly Review of Business Disciplines 5 (4), 357-73, 2019
132019
Is it a gender representation issue or a gender pay gap issue? A study of the replaced executives in the USA
RK Malladi, JD Mean
Business Economics 56 (2), 67-80, 2021
122021
Application of supervised machine learning techniques to forecast the COVID-19 U.S. recession and stock market crash
R Malladi
Computational Economics 61, 2022
112022
The liquidity, performance and investor preference of socially responsible investments
J Brodmann, P Wuthisatian, RK Malladi
Review of Behavioral Finance 15 (2), 224-239, 2023
82023
Pro forma modeling of cryptocurrency returns, volatilities, linkages and portfolio characteristics
RK Malladi
China Accounting and Finance Review 25 (2), 2023
82023
Luck versus skill in evaluating hedge fund managers’ performance
R Malladi
Journal of Business and Management 26 (1), 22-39, 2019
82019
Benchmark analysis of machine learning methods to forecast the US Annual inflation rate during a high-decile inflation period
RK Malladi
Computational Economics 64 (1), 335-375, 2024
72024
Preparing for higher inflation: Portfolio solutions using U.S. equities
H Parikh, R Malladi, F Fabozzi
Review of Financial Economics 38 (3), 542-554, 2020
52020
KIDZ Beating The Market? A Case For Children-Focused Thematic Index (KIDZ)
P Dheeriya, R Malladi
The Journal of Wealth Management 22 (1), 62-72, 2019
52019
KIDS Thematic Indices: Enabling Investors to Invest in Firms That Cater to Children
R Malladi
The Journal of Index Investing 10 (3), 85-103, 2019
52019
Emerging Frontiers: Exploring the Impact of Generative AI Platforms on University Quantitative Finance Examinations
RK Malladi
Journal of Financial Education, 2024
22024
Skillful hiding: evaluating hedge fund managers’ performance based on what they hide
R Malladi, FJ Fabozzi
Applied Economics 49 (7), 664-676, 2017
22017
Integrating corporate social responsibility with financial outcomes: stock performance of firms hiring US veterans during COVID-19
R Malladi, T Byrne, P Malladi
Review of Behavioral Finance, 2024
2024
Assessing the Impact of Rebalancing on Equal-weighted and Value-weighted Portfolios over Five Decades
R Malladi, A Stanoyevitch
Financial Services Review 33 (2), 2024
2024
Idaho Blacks: Quiet Economic Triumph of Enduring Champions
RK Malladi, P Thompson
arXiv preprint arXiv:2304.03676, 2023
2023
Slow and Steady Wins the Race: The Impact of Chasing Returns on Quartile Rankings
R Malladi, J Brodmann
Journal of Business and Management 27 (2), 1-32, 2021
2021
HARI: Characteristics of a new defined lifestyle (DL) retirement planning product
R Malladi
Journal of Financial Services Marketing 27 (2), 147–163, 2021
2021
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