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  <titleInfo>
    <title>Determinants of systematic risk</title>
    <subTitle>empirical evidence from banking, insurance, and non-financial sectors of Pakistan</subTitle>
  </titleInfo>
  <name type="personal">
    <namePart>Muhammad Nasir Sharif (F14A14G07006)</namePart>
    <role>
      <roleTerm authority="marcrelator" type="text">creator</roleTerm>
    </role>
  </name>
  <typeOfResource>text</typeOfResource>
  <originInfo>
    <place>
      <placeTerm type="text">Faisalabad</placeTerm>
    </place>
    <publisher>(unpublished)</publisher>
    <dateIssued>2016</dateIssued>
    <issuance>monographic</issuance>
  </originInfo>
  <physicalDescription>
    <extent>vii, 64 p. : ill. ; 30 cm.</extent>
  </physicalDescription>
  <note>Submitted in fulfillment of the requirements for the degree of Master of Sciences in  Management science to the Faculty of Management Sciences.</note>
  <note>Includes bibliographical references.</note>
  <note>Thesis supervisor: Kashif Hemid</note>
  <note>Thesis (MS)--Riphah International University,2016</note>
  <note>English</note>
  <subject>
    <topic>Management</topic>
    <topic>Market value</topic>
    <topic>Systematic risk</topic>
    <topic>Operating efficiency</topic>
    <topic>Conceptual framework</topic>
    <topic>Measurement</topic>
    <topic>Liquidity</topic>
    <topic>FMS</topic>
  </subject>
  <classification authority="ddc">658 NAS</classification>
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