This book covers key areas of Economics and Management. The contributions by the authors include Market performance, equity and debt capital, panel GMM, Capital Mix and Performance, Firms Relations, Arellano-Bond Serial Correlation Test, Optimal policy mix, monetary policy, fiscal policy, macroprudential policy, bayesian VAR, macroeconomic policies, policy-consistent measures, Cyber risk, return correlation, variance-covariance analysis, VaR, backtest, COVID-19, Risk measures, information security breaches, Rural market, HUL’s FMCG products, consumer buying decision, rural market problems, Fast Moving Consumer Goods (FMCG), Awareness, Affordability, Adoptability and Availability, Entrepreneurial orientation, moderating factors, firm performance, SMEs, Human capital skill occupational choice labour productivity, demographic trends, macroeconomic effects, wage levels and structure wage differentials, Intergenerational Real Wages, Economic Growth, Economic performance, micro financing, analysis, Kolmogorov-backward-equation, asymptotic expansion, Hermite-polynomials, implied volatility surface, Deutscher Aktienindex’ (DAX) index, Sustainable entrepreneurship, national development, small and medium scale enterprises etc. This book contains various materials suitable for students, researchers and academicians in the field of Economics and Management.