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: Anu Antony
Guide: Raman Nair, V
Publisher: Mahatma Gandhi University
Place: Kottayam
Language: English
Dissertation/Thesis Note: PhD
Fulltext: Shodhganga

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035__|a(IN-AhILN)th_424429
040__|aMGND_686560|dIN-AhILN
041__|aeng
100__|aAnu Antony|eResearcher
245__|aRisk Model and Portfolio selection A behavioural approach for optimization of Returns
260__|aKottayam|bMahatma Gandhi University
502__|bPhD
700__|aRaman Nair, V|eGuide
856__|uhttp://shodhganga.inflibnet.ac.in/handle/10603/194422|yShodhganga
905__|anotification

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