Srinivas Raghavendra,
Piiroinen, P.T.
(2020).
Conflict as closure: A Kaleckian model of growth and distribution under financialisation.
In D. Basu & D. Das (Eds.), Conflict, Demand and Economic Development (pp. 70–87). Routledge.
Srinivas Raghavendra
(2016).
Decomposition methods for analysing intra-regional and inter-regional income distribution.
In P. Flaschel & M. Landesmann (Eds.), Mathematical Economics and the Dynamics of Capitalism: Goodwin’s Legacy Continued, 104, 207.
Moloney, K.,
Srinivas Raghavendra
(2012).
A linear and nonlinear review of the arbitrage-free parity theory for the CDS and bond markets.
In M. Cummins, F. Murphy & J.J.H. Miller (Eds.), Topics in Numerical Methods for Finance (pp. 177–200). Springer.
Paraschiv, D.,
Srinivas Raghavendra,
Vasiliu, L.
(2008).
Algorithmic trading on an artificial stock market.
In C. Badica, G. Mangioni, V. Carchiolo & D.D. Burdescu (Eds.), Intelligent Distributed Computing, Systems and Applications (pp. 281–286). Springer.
Sinha, S.,
Srinivas Raghavendra
(2006).
Market polarisation in presence of individual choice volatility.
In C. Bruun (Ed.), Advances in Artificial Economics: The Economy as a Complex Dynamic System (pp. 177–190). Springer.
Sinha, S.,
Srinivas Raghavendra
(2006).
Emergence of two-phase behaviour in markets through interaction and learning in agents with bounded rationality.
In H. Takayasu (Ed.), Practical Fruits of Econophysics (pp. 200–204). Springer.