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An Empirical Investigation on Portfolio Management Problem with Mean-Risk Model in Malaysia Stock Market
Journal
Advanced Science Letters
ISSN
1936-6612
Date Issued
2015-05-01
DOI
10.1166/asl.2015.6005
File(s)
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Name
Journal Article.png
Size
3.11 KB
Format
PNG
Checksum
(MD5):21881560e0c3c9c06b18c6e8fdc11acf
