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ANALYSIS OF RISK-RETURN CHARACTERISTICS OF ASIAN EQUITY MARKETS USING NOVEL FRAMEWORKS OF RISK MEASUREMENT

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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


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