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Estimating the Risk of Mutual Funds in Indonesia by Employing Value at Risk (VaR)
Journal article   Peer reviewed

Estimating the Risk of Mutual Funds in Indonesia by Employing Value at Risk (VaR)

Nevi Danila
ASIAN JOURNAL OF BUSINESS AND ACCOUNTING, Vol.5(2), pp.99-118
01/01/2012

Abstract

Business & Economics Business, Finance Social Sciences

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