Author(s):
V. Harshitha Moulya, Abuzar Mohammadi, T. Mallikarjunappa
Email(s):
harshuwhitetiger@gmail.com , abuzar.mohammadi@gcc.edu.in
DOI:
10.5958/2321-5763.2019.00039.8
Address:
V. Harshitha Moulya1, Abuzar Mohammadi1, Dr T. Mallikarjunappa2
1Research Scholar, Department of Business Administration, Mangalore University, Mangalagangothri, Konaje, Mangalore 574199 Karnataka
2Professor, Department of Business Administration, Mangalore University, Mangalagangothri, Konaje, Mangalore 574199 Karnataka
*Corresponding Author
Published In:
Volume - 10,
Issue - 3,
Year - 2019
Cite this article:
V. Harshitha Moulya, Abuzar Mohammadi, T. Mallikarjunappa. Optimal Vs 1/N Diversification and Portfolio Evaluation: A study on Indian Stock Market. Asian Journal of Management. 2019; 10(3): 248-254. doi: 10.5958/2321-5763.2019.00039.8