Value at Risk: A New Methodology for Measuring Portfolio Risk in Various Industries

  • A Jaya Sundar Lecturer in Commerce, Madurai Kamaraj University College, Ramasamy Nagar, Aruppukkottai
Published
2013-07-29
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How to Cite
Jaya Sundar, A. (2013). Value at Risk: A New Methodology for Measuring Portfolio Risk in Various Industries. Shanlax International Journal of Management, 1(1), 75-82. Retrieved from https://shanlaxjournals.in/journals/index.php/management/article/view/2014
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