EMPIRICAL STUDIESS ON RISK AND RETURN CHARACTERISTICS TOWARD PORTFOLIO DIVERSIFICATION FROM MANAGER PERSPECTIVE / NAZGUL TASHPANOVA.
Material type: TextPublication details: Kuala Lumpur : Asia Pacific University, 2011Description: 30 cmLOC classification: PG-20-3223Dissertation note: A project submitted in partial fulfillment of the requirement of Asia Pacific University of Technology and Innovation for the degree of B.A (Hons) in Accounting and Finance.Item type | Current library | Collection | Call number | Status | Date due | Barcode |
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Reference | APU Library Reference Collection | Undergraduate Theses | PG-20-3223 (Browse shelf (Opens below)) | Withdrawn Weeded (Restricted access) | PG-20-3223 |
A project submitted in partial fulfillment of the requirement of Asia Pacific University of Technology and Innovation for the degree of B.A (Hons) in Accounting and Finance.
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