Testing The Validity of Postmodern Theory of Portfolio from Market Based Model: An Empirical Evidence from Emerging Economy of Pakistan

Amina Rasheed, Kashif Hamid, Nighat Talha, Tella Oluwatoba Ibrahim
ISSN / E-ISSN
2223-5604 / 2313-7738
DOI
10.56536/ijmres.v12i1.197 ↗
Volume · Issue · Pages
12 · 1 · —
Publisher
The Superior University, Lahore
Article URL
https://doi.org/10.56536/ijmres.v12i1.197 ↗
Article details
Unverified
Publication date (each date has its type and source)
01 Mar 2022
OpenAlex publication date · source: OpenAlex
Dates on record for this article
TypeDateSource
OpenAlex publication date01 Mar 2022 OpenAlex

Keywords (as given): Explanatory power; Economics; Volatility (finance); Market risk; Econometrics; Portfolio; Downside risk; Systematic risk; Financial economics; Modern portfolio theory

HEC Status at Publication Not the journal's current status

HEC Status at PublicationNot conclusive
Best available information, not a definitive status: HEC status cannot be determined for this date: no HEC list is recorded as in effect on it.
Journal
International Journal of Management Research and Emerging Sciences
Publication date used
01 Mar 2022 (OpenAlex publication date)
Applicable HEC period
None recorded for this date
Category
—
Recognition status
Unknown (NO_PERIOD_FOR_DATE)
Source
—
Verification status
Not available
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