Please use this identifier to cite or link to this item: http://hdl.handle.net/10603/537758
Title: Systemic Risk Analysis of Financial Asset Class in Context of India
Researcher: Kumar, Pawan
Guide(s): Singh, Vipul Kumar
Keywords: Asset allocation
Business Finance
Economics and Business
Investment analysis
Investments
Models and modelmaking
Portfolio management
Simulation methods
Social Sciences
University: Indian Institute of Management Mumbai (Formerly NITIE)
Completed Date: 2023
Abstract: Available
Pagination: 
URI: http://hdl.handle.net/10603/537758
Appears in Departments:Finance Economics and Strategy

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01_title.pdfAttached File89.28 kBAdobe PDFView/Open
02_prelim pages.pdf364.59 kBAdobe PDFView/Open
03_content.pdf278.11 kBAdobe PDFView/Open
04_abstract.pdf101.9 kBAdobe PDFView/Open
05_chapter 1.pdf1.34 MBAdobe PDFView/Open
06_chapter 2.pdf905.7 kBAdobe PDFView/Open
07_chapter 3.pdf890.38 kBAdobe PDFView/Open
08_chapter 4.pdf846.83 kBAdobe PDFView/Open
09_chapter 5.pdf872.89 kBAdobe PDFView/Open
10_annexures.pdf275.19 kBAdobe PDFView/Open
11_chapter 6.pdf1.11 MBAdobe PDFView/Open
12_chapter 7.pdf169 kBAdobe PDFView/Open
80_recommendation.pdf250.64 kBAdobe PDFView/Open
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