Please use this identifier to cite or link to this item: https://elibrary.tucl.edu.np/handle/123456789/4584
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dc.contributor.authorSah, Satrudhan Prasad-
dc.date.accessioned2021-09-14T05:27:02Z-
dc.date.available2021-09-14T05:27:02Z-
dc.date.issued2010-
dc.identifier.urihttps://elibrary.tucl.edu.np/handle/123456789/4584-
dc.description.abstractnot availableen_US
dc.language.isoen_USen_US
dc.publisherFaculty of Managementen_US
dc.subjectRisken_US
dc.subjectPortfolio managementen_US
dc.subjectPertormance measureen_US
dc.titleRisk-Adjusted Performance Measure of portfolio:A Study on Nepalese Stock Marketen_US
dc.typeThesisen_US
local.institute.titleCentral Department of Educationen_US
local.academic.levelMastersen_US
Appears in Collections:Finance

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