Please use this identifier to cite or link to this item: https://elibrary.tucl.edu.np/handle/123456789/4584
Title: Risk-Adjusted Performance Measure of portfolio:A Study on Nepalese Stock Market
Authors: Sah, Satrudhan Prasad
Keywords: Risk;Portfolio management;Pertormance measure
Issue Date: 2010
Publisher: Faculty of Management
Institute Name: Central Department of Education
Level: Masters
Abstract: not available
URI: https://elibrary.tucl.edu.np/handle/123456789/4584
Appears in Collections:Finance

Files in This Item:
File Description SizeFormat 
COVER.pdf29.67 kBAdobe PDFView/Open
CHAPTER.pdf694.26 kBAdobe PDFView/Open


Items in DSpace are protected by copyright, with all rights reserved, unless otherwise indicated.