Identifying bubbles in the Indian stock market and applications of Non-Gaussian distribution models of risk management .
Material type:
TextPublication details: Thiruvananthapuram, Department of Commerce, Mar Ivanious College, University of Kerala, 2024.Other classification: - X5-651:515-8:(B28)
| Item type | Current library | Home library | Collection | Call number | Status | Barcode | |
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Thesis
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Kerala University Library Thesis | Kerala University Library | Thesis | X5-651:515-8:(B28) R4 (RT) (Browse shelf(Opens below)) | Not for loan | G46004 |
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