Navigating market volatility : risk and return insights from Indian mutual funds
Year of publication: |
2024
|
---|---|
Authors: | Malhotra, Davinder Kumar ; Singh, Rahul ; Ramani, L. |
Published in: |
Cogent economics & finance. - Abingdon : Taylor & Francis, ISSN 2332-2039, ZDB-ID 2773198-4. - Vol. 12.2024, 1, Art.-No. 2431535, p. 1-21
|
Subject: | Indian mutual funds | market timing | Omega ratio | risk-adjusted returns | security selection | Sharpe ratio | Investmentfonds | Investment Fund | Kapitaleinkommen | Capital income | Indien | India | Portfolio-Management | Portfolio selection | Risiko | Risk | Volatilität | Volatility | Kapitalmarktrendite | Capital market returns | Risikoprämie | Risk premium |
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