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Do banks risk management practices affect earnings and stocks volatility in emerging economies? [ MS Finance] / by Saliha Tabassum

By: Material type: TextTextPublication details: Lahore : UMT. School of Business and Economics. Department of Finance, 2020Description: 47 p. CDDDC classification:
  • TP 332.6322 SAL-D
Dissertation note: Report presented in partial requirement for MS degree in Finance Advisor : Tashfeen Mohsan Khan MS Department of Finance 2020 F2016096023
Item type: Theses and Term Papers
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