Stock return volatility a comparative study of India and China

dc.contributor.guideTripathi, Vanita
dc.coverage.spatial
dc.creator.researcherChaudhary, Pankaj
dc.date.accessioned2022-06-02T05:27:37Z
dc.date.available2022-06-02T05:27:37Z
dc.date.awarded
dc.date.completed2014
dc.date.registered
dc.description.abstractAvailable
dc.description.note
dc.format.accompanyingmaterialNone
dc.format.dimensions
dc.format.extent231 p.
dc.identifier.urihttp://hdl.handle.net/10603/383534
dc.languageEnglish
dc.publisher.institutionDept. of Commerce
dc.publisher.placeNew Delhi
dc.publisher.universityUniversity of Delhi
dc.relationReferences p. 177-185
dc.rightsuniversity
dc.source.universityUniversity
dc.subject.keywordBusiness Finance
dc.subject.keywordEconomics and Business
dc.subject.keywordSocial Sciences
dc.subject.keywordStock return, India, China,
dc.titleStock return volatility a comparative study of India and China
dc.title.alternative
dc.type.degreePh.D.

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