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Home
Thesis & Dissertations
Management
Accountancy
Risk and return analysis for optimal portfolio creation of common stock investment(with references to BOK, EBL, NABIL, NIC, SBI and SCBL
Risk and return analysis for optimal portfolio creation of common stock investment(with references to BOK, EBL, NABIL, NIC, SBI and SCBL
Files
Chapter.pdf
(101.25 KB)
coverpage.pdf
(101.25 KB)
Date
2013-12
Authors
Pradhananga, Pushpa Raj
Journal Title
Journal ISSN
Volume Title
Publisher
Faculty of Management
Abstract
Not available
Description
Keywords
Portfolio analysis
,
Stock market
Citation
URI
https://elibrary.tucl.edu.np/handle/20.500.14540/20534
Collections
Accountancy
Full item page