Please use this identifier to cite or link to this item: http://hdl.handle.net/10603/194422
Title: Risk Model and Portfolio selection A behavioural approach for optimization of Returns
Researcher: Anu Antony
Guide(s): Raman Nair, V
Keywords: Behavioral approach
Management
Potfolio selection
Returns
Risk
University: Mahatma Gandhi University
Completed Date: 20/07/2016
Abstract: newline
Pagination: xx, 372p.
URI: http://hdl.handle.net/10603/194422
Appears in Departments:SCMS, School of Technology & Management, Aluva

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11_chapter2.pdf665.84 kBAdobe PDFView/Open
12_chapter3.pdf309.75 kBAdobe PDFView/Open
13_chapter4.pdf1.01 MBAdobe PDFView/Open
14_chapter5.pdf762.07 kBAdobe PDFView/Open
15_chapter6.pdf480.82 kBAdobe PDFView/Open
16_chapter7.pdf480.84 kBAdobe PDFView/Open
17_chapter8.pdf376.71 kBAdobe PDFView/Open
18_chapter9.pdf255.52 kBAdobe PDFView/Open
19_bibliography.pdf249.72 kBAdobe PDFView/Open
1_title.pdf380.42 kBAdobe PDFView/Open
20_appendices.pdf373.68 kBAdobe PDFView/Open
2_plagiarism certificate.pdf184.94 kBAdobe PDFView/Open
3_declaration.pdf140.27 kBAdobe PDFView/Open
4_certificate.pdf455.76 kBAdobe PDFView/Open
5_acknowledgement.pdf121.32 kBAdobe PDFView/Open
6_abstract.pdf131.09 kBAdobe PDFView/Open
7_contents.pdf226.62 kBAdobe PDFView/Open
8_list_of_tables.pdf102.35 kBAdobe PDFView/Open
9_list_of_figures.pdf81.24 kBAdobe PDFView/Open
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