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dc.contributor.authorSah, Ash Narayan
dc.date.accessioned2021-08-27T07:33:45Z
dc.date.available2021-08-27T07:33:45Z
dc.date.issued2011-12
dc.identifier.issn0304-0941(print version)
dc.identifier.urihttps://ir.iimcal.ac.in:8443/jspui/handle/123456789/3030
dc.descriptionAsh Narayan Sah, Assistant Professor, University of Petroleum & Energy Studies, Dehradun (uttarakhand)-248 007
dc.descriptionp.26-38
dc.descriptionDecember,2011
dc.descriptionIssue Editor - Debashish Bhattacherjee
dc.publisherIndian Institute of Management Calcutta, Kolkata
dc.relation.ispartofseriesVol.38;No.3
dc.titleBehavior of stock return volatility in India: A study in the context of the US Sub-Prime crisis
dc.typeArticle
Appears in Collections:Issue 3, December 2011

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