English
Català
Čeština
Deutsch
Español
Français
Gàidhlig
Italiano
Latviešu
Magyar
Nederlands
Polski
Português
Português do Brasil
Srpski (lat)
Suomi
Svenska
Türkçe
Tiếng Việt
Қазақ
বাংলা
हिंदी
Ελληνικά
Српски
Yкраї́нська
Log In
Email address
Password
Log in
New user? Click here to register.
Have you forgotten your password?
Communities & Collections
All of DSpace
Statistics
English
Català
Čeština
Deutsch
Español
Français
Gàidhlig
Italiano
Latviešu
Magyar
Nederlands
Polski
Português
Português do Brasil
Srpski (lat)
Suomi
Svenska
Türkçe
Tiếng Việt
Қазақ
বাংলা
हिंदी
Ελληνικά
Српски
Yкраї́нська
Log In
Email address
Password
Log in
New user? Click here to register.
Have you forgotten your password?
Home
Thesis & Dissertations
Management
Finance
Risk and Return Analysis and Optimal Portfolio Creation of Common Stock Investment (With References to SBI, NABIL, BOK, NIC, EBL and SCBL)
Risk and Return Analysis and Optimal Portfolio Creation of Common Stock Investment (With References to SBI, NABIL, BOK, NIC, EBL and SCBL)
Files
cover(3).pdf
(38.78 KB)
chapter(1).pdf
(782.24 KB)
Date
2010
Authors
Sapkota, Jagadish
Journal Title
Journal ISSN
Volume Title
Publisher
Faculty of Management
Abstract
Not Available
Description
Keywords
Risk Analysis
,
Return Analysis
,
Optimal Portfolio
,
Common Stock Investment
Citation
URI
https://elibrary.tucl.edu.np/handle/20.500.14540/4930
Collections
Finance
Full item page