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ID356895
Title ProperApplication of multi factor risk model for estimating value-at-risk in Indian stock market
LanguageENG
AuthorKaur (Navneet)
`In' analytical NoteIndian Journal of Economics and Business 15(1) Mar 2016 pp115-133
Journal SourceIndian Journal of Economics and Business 15(1) Mar 2016 pp115-133
Classification NumberX651,h.2
Key WordsStock market : Risk modelling ;  Risk modelling : Stock market ;  Multifactor risk : Stock market