A study on the relationship between portfolio's risk and return in various sectors on Kuala Lumpur Stock Exchange /

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Bibliographic Details
Main Author: Yap, Cheng Long
Format: Thesis Book
Language:English
Published: 1994.
Subjects:
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091 |a Microfiche 13590. 
099 |a 332.61-595  |b Yap 
100 1 0 |a Yap, Cheng Long. 
245 1 2 |a A study on the relationship between portfolio's risk and return in various sectors on Kuala Lumpur Stock Exchange /  |c by Yap Cheng Long. 
260 |c 1994. 
300 |a x, 77 leaves :  |b ill. [append.] ;  |c 29 cm. 
500 |a Microfiche. Kuala Lumpur : University of Malaya Library, 1998. 1 fiche : negative ; 11 x 15 cm. 
502 |a Dissertation (M.B.A.) -- Fakulti Ekonomi dan Pentadbiran,Universiti Malaya, 1994. 
504 |a Bibliography: leaves 76-77. 
610 2 0 |a Bursa Saham Kuala Lumpur. 
650 0 |a Capital assets pricing model. 
650 0 |a Speculation. 
650 0 |a Securities  |z Malaysia 
650 0 |a Stocks  |x Prices  |z Malaysia. 
650 0 |a Stock exchanges  |z Malaysia. 
710 2 0 |a Universiti Malaya.  |b Fakulti Ekonomi dan Pentadbiran. 
948 |a 27/09/1994  |b 26/07/2002 
596 |a 1 9 
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999 |a TESIS 332.61-595 YAP  |w LC  |c 1  |i A506314974  |l STACKS  |m P09EKONOMI  |r Y  |s Y  |t TESIS  |u 8/1/1998