Circular Model for Forecasting Returns of Bank, Finance, & Insurance Sector of the Sri Lankan Stock Market

dc.contributor.authorKonarasinghe, W.G.S.
dc.date.accessioned2017-02-06T06:28:18Z
dc.date.available2017-02-06T06:28:18Z
dc.date.issued2016
dc.identifier.citationKonarasinghe, W.G.S. (2016) Circular Model for Forecasting Returns of Bank, Finance, & Insurance Sector of the Sri Lankan Stock Market, In: Proceedings of the 5th International Conference of Sri Lanka Forum of University Economists, 22-23 December 2016, Department of Economics Faculty of Social Sciences University of Kelaniya, Sri Lanka, 73-77 pp.en_US
dc.identifier.issn2279-2406
dc.identifier.urihttp://repository.kln.ac.lk/handle/123456789/16267
dc.language.isoenen_US
dc.publisherSri Lanka Forum of University Economists (SLFUE), Department of Economics, Faculty of Social Sciences, University of Kelaniyaen_US
dc.titleCircular Model for Forecasting Returns of Bank, Finance, & Insurance Sector of the Sri Lankan Stock Marketen_US
dc.typeArticleen_US

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