Type of Material: | Thesis |
Title: | Risk model and portfolio selection : a behavioural approach for optimization of returns |
Researcher: | Antony, Anu |
Guide: | Nair, Raman, V |
Department: | Faculty of Management Sciences |
Publisher: | Mahatma Gandhi University, Kottayam |
Place: | Kottayam |
Year: | 2017 |
Language: | English |
Subject: | Risk Model | Portfolio | Behavioural Approach |
Dissertation/Thesis Note: | PhD |
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245 | __ | |aRisk model and portfolio selection : a behavioural approach for optimization of returns |
260 | __ | |aKottayam|bMahatma Gandhi University, Kottayam|c2017 |
502 | __ | |bPhD |
653 | __ | |aRisk Model |
653 | __ | |aPortfolio |
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700 | __ | |aNair, Raman, V|eGuide |
905 | __ | |anotification |
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