ID | 356895 |
Title Proper | Application of multi factor risk model for estimating value-at-risk in Indian stock market |
Language | ENG |
Author | Kaur (Navneet) |
`In' analytical Note | Indian Journal of Economics and Business 15(1) Mar 2016 pp115-133 |
Journal Source | Indian Journal of Economics and Business 15(1) Mar 2016 pp115-133 |
Classification Number | X651,h.2 |
Key Words | Stock market : Risk modelling ; Risk modelling : Stock market ; Multifactor risk : Stock market |