Anu Antony, R., & Raman Nair, V. (2016). Risk Model and Portfolio selection: A behavioural approach for optimization of Returns. Mahatma Gandhi University.
Chicago Edition CitationAnu Antony, Researcher, and V. Raman Nair. Risk Model and Portfolio Selection: A Behavioural Approach for Optimization of Returns. Kottayam: Mahatma Gandhi University, 2016.
MLA Edition CitationAnu Antony, Researcher, and V. Raman Nair. Risk Model and Portfolio Selection: A Behavioural Approach for Optimization of Returns. Mahatma Gandhi University, 2016.
Warning: These citations may not always be 100% accurate.