Portfolio Return, Risk and Market Timing: A Non- Parametric Approach.
Autor: | Dhar, Joyjit1 joyjit_dhar@rediffmail.com, Sinha, Ram Pratap2 rampratapsinha39@gmail.com |
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Zdroj: | International Journal of Financial Management. 2015, Vol. 5 Issue 2, p16-30. 15p. |
Databáze: | Business Source Ultimate |
Externí odkaz: |