USING PORTFOLIO THEORY TO REDUCE THE RISK OF FINANCIAL INVESTMENT

dc.contributor.advisordr.William Coffie
dc.contributor.authorSaja Ahmad A Alhassoun
dc.date2014
dc.date2015-03-06 06:05:15.587
dc.date.accessioned2022-05-29T10:01:31Z
dc.date.available2022-05-29T10:01:31Z
dc.degree.departmentdr.William Coffie
dc.identifier.other25004
dc.identifier.urihttps://drepo.sdl.edu.sa/handle/20.500.14154/44038
dc.publisherSaudi Digital Library
dc.titleUSING PORTFOLIO THEORY TO REDUCE THE RISK OF FINANCIAL INVESTMENT
dc.typeThesis
sdl.thesis.levelMaster
sdl.thesis.sourceSACM - United Kingdom

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