Title : Risk model and portfolio selection : a behavioural approach for optimization of returns

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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035__|a(IN-AhILN)th_272604
040__|aMGND_686560|dIN-AhILN
041__|aeng
100__|aAntony, Anu|eResearcher
110__|aFaculty of Management Sciences|bMahatma Gandhi University, Kottayam|dKottayam
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
653__|aBehavioural Approach
700__|aNair, Raman, V|eGuide
905__|anotification

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