Please use this identifier to cite or link to this item: http://hdl.handle.net/11718/9374
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dc.contributor.authorGupta, G. S.
dc.contributor.authorLiew, Bee Yong
dc.date.accessioned2010-10-06T09:31:08Z
dc.date.available2010-10-06T09:31:08Z
dc.date.copyright1995
dc.date.issued1995-10-06T09:31:08Z
dc.identifier.urihttp://hdl.handle.net/11718/9374
dc.descriptionIndian Journal of Applied Economics, Vol. 4, No. 3, (April-June, 1995), pp. 53 - 67en
dc.language.isoenen
dc.subjectPortfolioen
dc.subjectStocksen
dc.subjectMalaysiaen
dc.titleReturn, risk and optimum portfolio of stocks in Malaysiaen
dc.typeArticleen
Appears in Collections:Journal Articles

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