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Mandira Sarma
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Index of Financial Inclusion–A measure of financial sector inclusiveness
M Sarma
Centre for International Trade and Development, School of International …, 2012
1941*2012
Financial inclusion and development
M Sarma, J Pais
Journal of international development 23 (5), 613-628, 2011
13852011
Selection of Value‐at‐Risk models
M Sarma, S Thomas, A Shah
Journal of Forecasting 22 (4), 337-358, 2003
2872003
Measuring financial inclusion for Asian economies
M Sarma
Financial inclusion in Asia, 3-34, 2016
2542016
Subadditivity re-examined: the case for Value-at-Risk
J Danielsson, BN Jorgensen, S Mandira, G Samorodnitsky, CG De Vries
Cornell University Operations Research and Industrial Engineering, 2005
1842005
Fat tails, VaR and subadditivity
J Daníelsson, BN Jorgensen, G Samorodnitsky, M Sarma, CG de Vries
Journal of econometrics 172 (2), 283-291, 2013
1832013
What hinders and what enhances small enterprises' access to formal credit in India?
Y Nikaido, J Pais, M Sarma
Review of Development Finance 5 (1), 43-52, 2015
1172015
Comparing downside risk measures for heavy tailed distributions
J Danielsson, BN Jorgensen, M Sarma, CG de Vries
Economics letters 92 (2), 202-208, 2006
802006
Financial inclusion and development: A cross country analysis
S Mandira, P Jesim
Indian Council for Research on International Economic Relations, 1-28, 2008
50*2008
Demand-side factors for financial inclusion: A cross-country empirical analysis
R Yangdol, M Sarma
International Studies 56 (2-3), 163-185, 2019
412019
Measuring financial inclusion using multidimensional data
M Sarma
World Economics 17 (1), 15-40, 2016
362016
Do Foreign Banks in India Indulge in'Cream Skimming'?
M Sarma, A Prashad
Economic and Political Weekly, 120-125, 2016
192016
Rural Short-term cooperative credit structure
M Sarma, R Kumar
Economic and Political weekly, 13-18, 2008
192008
Asset inequality in India: Going from bad to worse
M Sarma, P Saha, N Jayakumar
Social Scientist 45 (3/4), 53-67, 2017
172017
Capital adequacy regime in India: An overview
M Sarma, Y Nikaido
Working paper, 2007
162007
India's Capital Adequacy Regime
M Sarma, Y Nikaido
Economic and Political Weekly, 66-71, 2007
112007
Consistent measures of risk
J Danielsson, JP Zigrand, BN Jorgensen, M Sarma, CG de Vries
Financial Markets Group, London School of Economics and Political Science, 2006
112006
10. _ Determinants of Access to Institutional Credit for Small Enterprises in India
Y Nikaido, J Pais, M Sarma
102012
Understanding Basel Norms
M Sarma
Economic and Political Weekly, 3364-3367, 2007
102007
Exchange market pressure in India
A Guru, M Sarma
Macroeconomics and Finance in Emerging Market Economies 10 (1), 68-87, 2017
82017
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Articles 1–20