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Journal of Financial Risk Management
Submission
Journal of Financial Risk Management
ISSN Print:
2167-9533
ISSN Online:
2167-9541
www.scirp.org/journal/jfrm
E-mail:
jfrm@scirp.org
Google-based Impact Factor:
1.92
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"
Portfolio Risk Management Implications of Mutual Fund Investment Objective Classifications
"
written by
Larry J. Prather
,
published by
Journal of Financial Risk Management
,
Vol.1 No.3, 2012
has been cited by the following article(s):
Google Scholar
CrossRef
[1]
A STUDY ON INVESTMEN PERCEPTION AND T BEHAVIOURS OF MUTUAL FUND INVESTORS OF SALEM DISTRICT
International Journal of …
,
2020
[2]
A STUDY ON INVESTMENT PERCEPTION AND BEHAVIOURS OF MUTUAL FUND INVESTORS OF SALEM DISTRICT
International Journal of …
,
2020
[3]
Sharia Mutual Fund Performance, Foreign Ownership and Investment Ability
AFEBI Islamic Finance and Economic Review
,
2019
[4]
Using Risk Characteristics to Classify Funds
2018
[5]
Stock Composition of Mutual Funds and Fund Style: A Time Series Decomposition Approach Towards Testing for Consistency
2017
[6]
Asian Research Consortium
2016
[7]
Are the ASISA Standards with Respect to Unit Trust Classification Representative of Homogeneous Risk Classes?
2016
[8]
An Analysis of Risk Measurement Techniques of Selected Mutual Fund Schemes in India
2016
[9]
A Comparative Study on Performance of Selected Mutual Funds with reference to Indian Context
2016
[10]
ANALYSIS OF MUTUAL FUNDS AND PORTFOLIO MANAGEMENT WITH SPECIAL REFERENCE TO SBI FUND MANAGEMENT PVT LTD
Anusandhan The Research Repository
,
2015
[11]
SHARIA MUTUAL FUND PERFORMANCE APPROACHES FROM INFLUENCE
[1]
Are the ASISA Standards with Respect to Unit Trust Classification Representative of Homogeneous Risk Classes?
Journal of Financial Risk Management
,
2016
DOI:
10.4236/jfrm.2016.52008
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