Cite
HARVARD Citation
Baral, R. et al. (2021). Macro-financial analysis of value-at-risk from banking stocks in an Indian scenario. International journal of business continuity and risk management. pp. 379-396. [Online].
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Baral, R. et al. (2021). Macro-financial analysis of value-at-risk from banking stocks in an Indian scenario. International journal of business continuity and risk management. pp. 379-396. [Online].