INTERNATIONAL JOURNAL OF COMPUTER SCIENCE AND MATHEMATICAL THEORY (IJCSMT )

E-ISSN 2545-5699
P-ISSN 2695-1924
VOL. 3 NO. 1 2017


An Effective Tool for the Management of Stock Portfolio Using Variance-Covariance Approach of Value at Risk Models

D. J. S. Sako & C. G. Igiri and I. N. Chikweri


Abstract






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