dc.contributor.author |
NAQVI, MUHAMMAD WAQAR AZEEM |
|
dc.date.accessioned |
2017-12-15T09:49:09Z |
|
dc.date.accessioned |
2020-04-14T18:05:28Z |
|
dc.date.available |
2020-04-14T18:05:28Z |
|
dc.date.issued |
2015 |
|
dc.identifier.uri |
http://142.54.178.187:9060/xmlui/handle/123456789/6625 |
|
dc.description.abstract |
N/A |
en_US |
dc.description.sponsorship |
Higher Education Commission, Pakistan |
en_US |
dc.language.iso |
en |
en_US |
dc.publisher |
National College of Business Administration & Economics Lahore |
en_US |
dc.subject |
Social sciences |
en_US |
dc.title |
ANALYSIS OF RISK-RETURN CHARACTERISTICS OF ASIAN EQUITY MARKETS USING NOVEL FRAMEWORKS OF RISK MEASUREMENT |
en_US |
dc.type |
Thesis |
en_US |