Raj Aggarwal
Researcher in finance and international business
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(Suggest an Edit or Addition)According to Wikipedia, Raj Aggarwal is an author and contributor to the fields of finance and international business studies. Aggarwal was the dean of the University of Akron College of Business Administration from 2006 until 2009. He was elected as a fellow of the Academy of International Business. He has worked as an engineer, financial analyst, strategic planner, department chair, university budget planner and corporate board member. He has authored or co-authored over a dozen books or monographs and over a hundred scholarly articles that have cited over 5,000 times according to his profile in Google Scholar.
Raj Aggarwal's Published Works
Published Works
- EXCHANGE RATES AND STOCK PRICES: A STUDY OF THE US CAPITAL MARKETS UNDER FLOATING EXCHANGE RATES (2003) (424)
- The impact of FDICIA and prompt corrective action on bank capital and risk: Estimates using a simultaneous equations model (2001) (296)
- Markets and Institutions in Financial Intermediation: National Characteristics as Determinants (2008) (202)
- Research in International Business and Finance (2014) (182)
- Gravity and Culture in Foreign Portfolio Investment (2012) (166)
- Psychological Barriers in Gold Prices? (2005) (154)
- A History of Corporate Finance (1997) (151)
- Equity Market Integration in the NAFTA Region: Evidence from Unit Root and Cointegration Tests (2004) (130)
- What is a multinational corporation? Classifying the degree of firm-level multinationality (2011) (125)
- Foreign Exchange Exposure of ‘Domestic’ Corporations (2010) (124)
- Lending to women in microfinance: Role of social trust (2015) (124)
- Assessing the Impact of Prompt Corrective Action on Bank Capital and Risk (1998) (114)
- Are Survey Forecasts of Macroeconomic Variables Rational (1995) (106)
- Capital structure, dividend policy, and multinationality: Theory versus empirical evidence (2010) (104)
- Developing a Global Mindset: Integrating Demographics, Sustainability, Technology, and Globalization (2011) (104)
- The nature and efficiency of the gold market (1988) (89)
- The Cash Flow-Investment Relationship: International Evidence of Limited Access to External Finance (2005) (88)
- Industrial distributors: Can they survive in the new economy? (2003) (80)
- Financial markets versus institutions in European countries: Influence of culture and other national characteristics (2010) (79)
- Oil price shocks and transportation firm asset prices (2012) (75)
- Anatomy of an Entrepreneur: Family Background and Motivation (2009) (74)
- Board diversity and firm performance: The role of business group affiliation (2019) (73)
- Culture and finance: An introduction (2016) (72)
- Trading Volume and Exchange Rate Volatility: Evidence for the Sequential Arrival of Information Hypothesis (2010) (71)
- Cross-national differences in access to finance: Influence of culture and institutional environments ☆ (2014) (65)
- Cointegration among Asian currencies: Evidence of the increasing influence of the Japanese yen (1996) (65)
- Skewness And Kurtosis In Japanese Equity Returns: Empirical Evidence (1989) (63)
- Institutional Ownership and Distribution of Equity Returns (1987) (62)
- CORPORATE USE OF SOPHISTICATED CAPITAL BUDGETING TECHNIQUES: A STRATEGIC PERSPECTIVE AND A CRITIQUE OF SURVEY RESULTS (1980) (60)
- Balance of trade announcements and asset prices: influence on equity prices, exchange rates, and interest rates (1992) (59)
- Regularities in Tokyo Stock Exchange Security Returns: P/E, Size, and Seasonal Influences (1990) (59)
- Internal capital networks as a source of MNC competitive advantage: Evidence from foreign subsidiary capital structure decisions (2008) (56)
- Evidence of long-run purchasing power parity: analysis of real asian exchange rates in terms of the Japanese yen (2000) (54)
- Corporate governance and business strategies for climate change and environmental mitigation (2012) (52)
- Dynamics of Equity Market Integration in Europe: Evidence of Changes over time and with events (2004) (51)
- The leverage–value relationship puzzle: An industry effects resolution (2007) (49)
- Markets versus institutions in developing countries: National attributes as determinants (2009) (45)
- Day of the week effects, information seasonality, and higher moments of security returns (1997) (43)
- Technology and Globalization as Mutual Reinforcers in Business: Reorienting Strategic Thinking for the New Millennium (1999) (41)
- Strategies for Internationalizing the Business School: Educating for the Global Economy (1989) (39)
- Political-Economy of Pension Plans: Impact of Institutions, Gender, and Culture (2012) (39)
- Capital budgeting under uncertainty (1994) (38)
- East Asian Real Exchange Rates and PPP: New Evidence from Panel-data Tests (2007) (36)
- SECURITY RETURN DISTRIBUTIONS AND MARKET STRUCTURE: EVIDENCE FROM THE NYSE/AMEX AND THE NASDAQ MARKETS (1993) (35)
- Cash and Foreign Exchange Management: Theory and Corporate Practice In Three Countries (1989) (35)
- Full length articleNational cultural dimensions in finance and accounting scholarship: An important gap in the literatures? (2014) (35)
- National Cultural Dimensions in Finance and Accounting Scholarship: An Important Gap in the Literatures? (2014) (33)
- The relationship between daily U.S. and Japanese equity prices: Evidence from spot versus futures markets (1994) (33)
- Cointegration among Southeast Asian and Japanese currencies: Preliminary evidence of a Yen bloc? (1993) (32)
- Open book management--optimizing human capital (2001) (30)
- Animal spirits in financial economics: A review of deviations from economic rationality (2014) (30)
- International Variations in Transparency and Capital Structure: Evidence from European Firms (2009) (29)
- Scholarship of Teaching International Business: Challenges and Opportunities (2011) (27)
- Capital Structure Differences among Large Asian Companies (1990) (26)
- The Diversification Discount Puzzle: Evidence for a Transaction-Cost Resolution (2009) (26)
- Asymmetric impact of trade balance news on asset prices (1998) (25)
- Dynamics of Equity Market Integration in Europe: Impact of Political Economy Events (2010) (25)
- Using derivatives in major currencies for cross‐hedging currency risks in Asian emergency markets (1997) (25)
- International variations in expected equity premia: Role of financial architecture and governance (2011) (25)
- Rationality in Precious Metals Forward Markets: Evidence of Behavioural Deviations in the Gold Markets (2014) (24)
- Justifying Investments in Flexible Manufacturing Technology: Adding Strategic Analysis to Capital Budgeting Under Uncertainty (1991) (24)
- International Business Through Barter and Countertrade (1989) (24)
- Price/Book Value Ratios and Equity Returns on the Tokyo Stock Exchange: Empirical Evidence of an Anomalous Regularity (1992) (24)
- Sovereign wealth fund governance and national culture (2018) (24)
- Equity Valuation in the Czech Voucher Privatization Auctions (2000) (23)
- Making of A Successful Entrepreneur: Anatomy of an Entrepreneur Part II (2009) (23)
- Investment Performance of U.S.-Based Multinational Companies: Comments and a Perspective on International Diversification of Real Assets (1980) (23)
- Cross-Hedging Currency Risks in Asian Emerging Markets Using Derivatives in Major Currencies (1997) (23)
- Using economic profit to assess performance: a metric for modern firms (2001) (23)
- Information Environment, Dividend Changes, and Signaling: Evidence from ADR Firms*: Information Environment, Dividend Changes, and Signaling (2012) (22)
- Project Exit Value as a Measure of Flexibility and Risk Exposure (1989) (21)
- EVIDENCE ON VOLUNTARY DISCLOSURES OF DERIVATIVES USAGE BY LARGE US COMPANIES (2004) (21)
- Currency Risk Exposure of Chinese Corporations (2011) (21)
- Seeking out profitable countertrade opportunities (1989) (21)
- Multinationals of the South: New Actors in the International Economy (1988) (21)
- Are Differences in Acquiring Bank Profit Efficiency Priced in Financial Markets? (2006) (21)
- The strategic challenge of the evolving global economy (1987) (20)
- Capital Structure Among Latin American Companies (1987) (20)
- Information Environment, Dividend Changes, and Signaling: Evidence from ADR Firms (2010) (19)
- Distribution of Spot and Forward Exchange Rates: Empirical Evidence and Investor Valuation of Skewness and Kurtosis* (1990) (19)
- Emerging Third World Multinationals: A Case Study of the Foreign Operations of Singapore Firms (1985) (18)
- Equity premia in emerging markets: National characteristics as determinants (2008) (18)
- The Diversification Discount Puzzle: Empirical Evidence for a Transactions Cost Resolution (2007) (18)
- Culture, institutions, and financing choices: How and why are they related? (2014) (17)
- Efficiency of the silver futures market: An empirical study using daily data (1987) (17)
- MULTINATIONALITY AND STOCK MARKET VALUATION: AN EMPIRICAL STUDY OF U.S. MARKETS AND COMPANIES (1977) (17)
- Greenhouse Gas Emissions Mitigation and Firm Value: A Study of Large North-American and European Firms (2011) (17)
- Short Cases for Teaching Management Science: Their Role in Closing the Gap Between Theory and Practice (1978) (17)
- Culture, Gender, and GMAT Scores: Implications for Corporate Ethics (2014) (16)
- Rationality of Japanese macroeconomic survey forecasts: empirical evidence and comparisons with the US (2000) (16)
- Dividend yields and stock returns: Evidence from the Tokyo Stock Exchange (1992) (16)
- Student Characteristics and Pedagogies in Developing Global Mindsets: Introduction to this Issue (2016) (15)
- Dividends and Strength of Japanese Business Group Affiliation (2012) (15)
- Persistent Puzzles in International Finance and Economics (2004) (14)
- Assessing the Recent Asian Economic Crises: The Role of Virtuous and Vicious Cycles (1999) (14)
- Outstanding International Business Research: Nature of the Best International Business Dissertations (2008) (14)
- Behavioral Biases in Forward Rates as Forecasts of Future Exchange Rates: Evidence of Systematic Pessimism and Under-Reaction (2008) (13)
- Intraday Trading Patterns in the Equity Options Markets (1993) (13)
- Economic development, business strategy, and corporate restructuring in India (2009) (13)
- Common Stochastic Trends Among Asian Currencies: Evidence for Japan, Aseans, and the Asian Tigers (1998) (13)
- The Laws of Globalization and Business Applications (2018) (12)
- Globalizing International Business Education via Experiential Learning (2014) (12)
- The Evolution of Multinationals from a Small Economy: A Study of Swedish Firms in Asia (1991) (12)
- The Forward Exchange Rate Bias Puzzle is Persistent: Evidence from Stochastic and Nonparametric Cointegration Tests (2009) (12)
- International dimensions of securities and currency markets (1990) (11)
- Personal Leadership Development in International Business (2014) (11)
- Cultural Intelligence and IB Education (2016) (11)
- Characteristics of Japanese finance: A review and introduction (1994) (11)
- Bank Exposure to Interest Rate Risks During Financial Liberalization: Evidence from South Korea (2005) (11)
- Management of Accounting Exposure to Currency Changes: Role and Evidence of Agency Costs (1991) (11)
- Expanding the International Business Classroom Experience: Introduction (2012) (11)
- Challenges in Implementing Experiential Learning in IB Education (2019) (10)
- Value-added annual shareholders meetings: reflections on people's capitalism at Wal-Mart (2001) (9)
- Foreign Operations of Third World Multinationals: A Literature Review and Analysis of Indian Companies (2016) (9)
- International Business: Operating in the Global Economy (1987) (9)
- Analyst recommendations and the implied cost of equity (2018) (9)
- Is gravity a cultural artefact? Culture and distance in foreign portfolio investment (2009) (9)
- International dimensions of financial management (1988) (9)
- The nature of currency black markets: empirical test of weak and semistrong form efficiency (1990) (9)
- Course Design Considerations in International Business Education (2018) (9)
- Privatization and Business Valuation in Transition Economies (2001) (8)
- Systematic strategic planning at a State University: A case study of adapting corporate planning techniques (1987) (8)
- Dynamics of Equity Markets Integration in Europe: Evidence of Change with Events and over Time (2005) (8)
- Global portfolio diversification : risk management, market microstructure, and implementation issues (1995) (8)
- Dynamics of Equity Market Integration in Europe: Evidence of Changes with Events and Over Time (2003) (8)
- Learning Styles in Teaching International Business (2015) (7)
- World Metal Markets (2015) (7)
- Teaching Management of Cultural Differences (2017) (7)
- Adjusting to BRICs in Glass Houses: Replacing Obsolete Institutions and Business Models (2013) (7)
- Role Modesl in Finance: Lessons from Life Cycle Productivity of Prolific Scholars (2006) (7)
- Encouraging Short-Term Study Abroad by Understanding Its Value to IB Education (2015) (7)
- FINANCIAL ENVIRONMENT AND THE VALUE- LEVERAGE RELATION (2011) (7)
- Technology Transfer by Multinational Companies: Their Role in India (1978) (7)
- Evaluating foreign affiliates: the impact of alternative foreign currency translation methods (1985) (7)
- Industry differences in NAFTA's impact on the valuation of U.S. companies (1998) (7)
- Perspectives and Challenges in Developing Global Mind Sets: Introduction (2018) (6)
- Global Portfolio Diversification (1994) (6)
- Online Teaching in International Business (2020) (6)
- The shape of post‐bubble Japanese business: Preparing for growth in the new millennium (1996) (6)
- Role models in finance: Lessons from life cycle productivity of prolific scholars (2007) (6)
- Restructuring Japanese Business for Growth (1999) (6)
- Governance transparency among the largest multinational corporations: Influence of firm, industry and national factors (2015) (6)
- Improving Learning Outcomes in IB Education (2016) (6)
- Immersive Tools for Teaching IB (2015) (5)
- The Responses of Interest Rate Spreads to Information Releases (2001) (5)
- Are Forward Exchange Rates Rational Forecasts of Future Spot Rates? An Improved Econometric Analysis for the Major Currencies (2015) (5)
- Significant issuance date returns in seasoned equity offerings: An options-based resolution of a puzzle (2008) (5)
- Terrorism and Financial Management (2006) (5)
- India in the World Economy (2010) (5)
- Eonomic integration among caribbean countries: Evidence from purchasing power parity, 1980–2000 (2006) (5)
- On the Globalness of Emerging Multinationals: A Study of Indian MNEs (2010) (5)
- National Preferences for Bank or Market Financing (2016) (5)
- Restoring Growth in Asia after the Late 1990s Economic Crisis: Need for Domestic and International Economic Reforms (1999) (5)
- Exchange rate exposure of Latin American firms: Empirical evidence (2019) (4)
- Challenges Still Facing IB Education (2014) (4)
- Common stocastic trends among Caribbean currencies: Evidence from Guyana, Jamaica, and Trinidad and Tobago (2008) (4)
- Probing corporate governance globally: Impacts of business systems and beyond (2008) (4)
- Determinants of Expected Returns at Public Defined-Benefit Pension Plans (2015) (4)
- Financial policies for the multinational company: The management of foreign exchange (1976) (4)
- Outward Foreign Direct Investments by the BRICS (2011) (4)
- Lending to Women in Microfinance: Influence of Social Trust and National Culture (2013) (4)
- Distribution of extreme changes in Asian currencies: tail index estimates and value-at-risk calculations (2009) (4)
- The Forward Exchange Rate Bias Puzzle: Evidence from New Cointegration Tests (2006) (4)
- International business and finance scholarship (2008) (4)
- Restructuring Japanese business for growth : strategy, finance, management and marketing perspective (1999) (4)
- Contextual Richness in Teaching IB: Ethics, Language, and Social Factors (2015) (4)
- Management science: Cases and applications (1979) (3)
- Study Abroad and Experiential Learning in International Business (2011) (3)
- Strategic Repositioning in Industrial Distribution (2004) (3)
- Corporate Management of Foreign Currency Risk: Conceptual Framework, Policies, and Strategies (2012) (3)
- Cross-Cultural Competence Development for Business Students (2021) (3)
- Enriching IB Course Design with Active Learning (2019) (3)
- Accreditation and Challenges of Global Business Education (2011) (3)
- The Changing Dynamics of the East Asian Real Exchange Rates after the Financial Crisis: Further Evidence on Mean Reversion (2006) (3)
- Taking a Broader Perspective in Teaching International Business: Including Politics, Economics, and Ethics (2012) (3)
- Assessing Co-Ordinated Asian Exchange Rate Regimes: Proposal for a Possible Move Towards a Common Currency (2010) (3)
- Perspectives on Japanese Finance for Portfolio Investors (1997) (3)
- INTERNAL CASH FLOWS AND INVESTMENT DECISIONS: A COMPARATIVE STUDY OF THE U.S. AND JAPAN (2003) (3)
- Business Strategies for Multinational Intellectual Property Protection (2009) (3)
- Variations in emerging-market equity premia: impact of financial architecture (2011) (3)
- The predictive power of January returns and the political-business cycle (1992) (3)
- Does Asia Really have Poorer Governance? Evidence from International Variations in Self-Dealing Transparency (2014) (3)
- Discounting in Financial Accounting and Reporting: Issues in the Literature (1988) (2)
- INTERNATIONAL DIFFERENCES IN CAPITAL STRUCTURE AMONG ASIAN COMPANIES (1986) (2)
- Opportunities and Challenges in Teaching International Business in the Asia-Pacific Region (2017) (2)
- Evaluation of global electronic funds flow system: the Society for Worldwide Interbank Financial Telecommunications (SWIFT) (1994) (2)
- Planning a Successful Acquisitions Strategy: Some Guidelines (1991) (2)
- Faculty Members as Consultants: A Policy Perspective. (1981) (2)
- Integrated Situation Awareness (2003) (2)
- Japanese Banking and Investments in the United States (1992) (2)
- Microstructure of world trading markets: Hans R. Stoll, Norwell, MA: Kluwer Academic Publishers, 1993, 154 pp (1995) (2)
- Chindia FDI in Africa: Implications for Europe and Re-polarization (2012) (2)
- The behavior of large changes in Asian exchange rates (2003) (2)
- Evidence from the Tokyo Stock Exchange (1992) (2)
- Developing Global Awareness in International Business Education (2012) (2)
- Analyst recommendations and the implied cost of equity (2017) (2)
- Exporting labor: the impact of expatriate workers on the home country. (1987) (2)
- The relationship between bank off-balance-sheet activities and credit risk under risk-based capital: a simultaneous equations approach (2000) (2)
- Introduction: Importance of Teaching International Business in Greater China: Some Challenges and Opportunities (2011) (2)
- HEALTH INSURANCE AVAILABILITY AND ENTREPRENEURSHIP (2013) (2)
- Justifying Capital Investments in the Emerging Electric Utility: Accounting for an Uncertain and Changing Industry Structure (1997) (2)
- Assessing co-ordinated Asian exchange rate regimes (2010) (2)
- Purchasing Power Parity in the Eastern Caribbean Currency Union (2004) (2)
- Privatization and capital market development in Eastern Europe : lesons from the Czechslovak experience (1992) (2)
- Teaching International Business in Europe and Latin America (2021) (2)
- Developing Your Global Mindset: The Handbook for Successful Global Leaders, Written by Mansour Javidian and Jennie L. Walker (2014) (1)
- Assessing Importance of Time-Series Versus Cross-Sectional Changes in Panel Data: A Study of International Variations in Ex-Ante Equity Premia and Financial Architecture (2015) (1)
- Internalization of Student Cross-Cultural Skills (2020) (1)
- Board Diversity, Business Groups, and Firm Performance: Evidence from India (2018) (1)
- Private use of official currency cocktails: the relative success of the ECU and the SDR (1988) (1)
- Cross-Cultural Communication and IB Teaching (2020) (1)
- International Business Curricula: Responding to COVID-19 Challenges (2021) (1)
- Capital market evaluation of foreign operations: A study of U.S. multinationals (1980) (1)
- Governance Transparency and the Institutions of Capitalism (2014) (1)
- Governance Transparency, Finance, and the Institutions of Capitalism: A Global Perspective (2013) (1)
- Including the Bottom of the Pyramid in the International Business Curriculum (2012) (1)
- Deans’ Forum on the Globalization of Business Education and Development: Reflections and Directions for the Future (2013) (1)
- Functional Areas in Improving Depth of IB Teaching (2019) (1)
- Open Book 'Financial' Management: A Case Study of Manco, Inc. (2001) (1)
- Asian Currency Basket Peg: Feasibility and a Move Towards a Multi-polar World (2012) (1)
- Indian Integration with the World Economy: Important Role of M&A and Corporate Restructuring (2010) (1)
- The Emerging Nature of Post-Bubble Japanese Business: Policies for Continuing Economic Growth into the New Millennium (1999) (1)
- Assessing Time-Series Versus Cross-Sectional Influences in Panel Estimates: International Financial Architecture and Expected Equity Premia (2012) (1)
- Developing Linguistic Diversity Management in Teaching IB: Introduction to this Issue (2017) (1)
- Finance, Ethical Issues in (2015) (0)
- Distance Matters for Portfolio Investment - But What Kind of Distance? (2016) (0)
- Cross-Border Influences in the International Business Curriculum (2013) (0)
- More emphasis should be on working capital management. (1979) (0)
- Interview with Prof. Raj Aggarwal, Departmental Editor of Finance and Accounting of Journal of International Business Studies (JIBS) during AIB 2005 conference July 9-11, 2005 (2005) (0)
- Fixed Coupon Note (2020) (0)
- Applied International Economics, 4th Edition, Written by W. Charles Sawyer and Richard L. Sprinkle (2016) (0)
- Introduction (2019) (0)
- Introduction: The Challenge of Post-Bubble Japanese Business Growth (1999) (0)
- Finance in International Business Education (2013) (0)
- The Management of Foreign Exchange: Optimal Policies for a Multinational Company (1980) (0)
- The Literature of International Business Finance: A Bibliography of Selected Business and Academic Sources (1984) (0)
- The Broad Nature of Globalization (2020) (0)
- FASB 8 AND REPORTED PROFITS: HAZARDS FOR MNCs (1977) (0)
- Higher Moments of Returns, Information Seasonality, and Day of the Week Effects (1997) (0)
- Foreign Capital and Economic Growth (1988) (0)
- Indecent Exposure in Developing Country Debt (1991) (0)
- PURCHASING POWER PARITY IN THE (2016) (0)
- Business Strategy and Corporate Restructuring in India: The Mutually Reinforcing Impacts of Economic Liberalization and Technology (2003) (0)
- Recent Research on Nonprofit Governance and the Role of Board in Financial Management (2014) (0)
- Editors’ Introduction to This Special Issue (2022) (0)
- Banking Relationships and Cash and Foreign Exchange Management: A Study of Companies in the U.K., The Netherlands and Belgium** (2016) (0)
- Japanese business in the post‐bubble era (1996) (0)
- Culture, Gender, and GMAT Scores: Implications for Corporate Ethics (2013) (0)
- U.S. Trade Balance, Protectionism, and Japanese Equity Prices: International Influence of National Macroeconomic News (1999) (0)
- Oil price shocks and transportation fi rm asset prices (2015) (0)
- International Business Leadership, Culture, and GMAT Scores: Evidence and Implications (2011) (0)
- An Analysis of Linguistic Content1 (1991) (0)
- The Export of High Value-Added Products:: The Role of International Port and Carrier Services (1989) (0)
- Demographics and the Global Business Environment: A Book Review Essay (2021) (0)
- Diversification Benefits of Investing in the Asia-Pacific Region (2018) (0)
- Equity Market Valuation and Corporate Investments (2007) (0)
- Why Does Microfinance Focus on Women Borrowers? Insights from International Variations (2012) (0)
- Policies for effective decision-making (1993) (0)
- What is a Multinational Company? Classifying the Degree of Firm-Level Multinationality (2010) (0)
- Reviewers for Journal of Teaching in International Business, Volume 29 (2018) (2019) (0)
- Reviewers for Journal of Teaching in International Business, Volume 25 (2014) (2015) (0)
- Economic Planning and Industrial Policy: A Framework for Avoiding the Corner Solutions (2010) (0)
- Professors as Consultants: A Perspective on Costs and Benefits for the University (2012) (0)
- International Business Teaching for Remote Students: Challenges and Adaptations (2022) (0)
- Goldstein, M. (1998) The Asian Financial Crisis: Causes, Cures, and Systematic Implications, Institute of International Economics: Washington, DC., 77 pages, ISBN 0‐88132‐261‐X (1999) (0)
- Notes on contributors (2011) (0)
- Crisis and Opportunity in the Asian Economies (1998) (0)
- Does Asia Really Have Poorer Corporate Governance?: Evidence from International Variations in Transparency (2014) (0)
- Understanding Financial Market Failures (2012) (0)
- The Second Wave: Japan's Global Assault on Financial Services (1989) (0)
- Internal cash flows and corporate investment decisions (2002) (0)
- The Forward Exchange Rate Bias Puzzle is Persistent: Evidence from Stochastic and Non Parametric Cointegration Tests (2006) (0)
- B. Finance - Accounting (1994) (0)
- Teaching International Business Considering Students’ Multiple Facets (2022) (0)
- The Finance and Taxation Decisions of Multinationals (1990) (0)
- Noland, M., Liu, L.-G., Robinson, S., Wang, Z. (1998) Global Economic Effects of the Asian Currency Devaluations, Institute of International Economics: Washington, DC., 104 pages, ISBN 0-88132-260-1 (1999) (0)
- Mixed methods used in the refinement of an Alzheimer’s study registry to optimize recruitment of Latinx and Black individuals (2021) (0)
- Information Age Paradigm Shifts: Implications for International Marketing and Business Education (2017) (0)
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