Please use this identifier to cite or link to this item: https://hdl.handle.net/11159/3254
Journal: 
Academic journal of economic studies
e-ISSN: 
2457-5836
Document Type: 
Article
Year of Publication: 
2019
Language: 
English (eng)
Citation: 
Nageri, Kamaldeen Ibraheem/Lawal, Azeez Tunbosun et. al. (2019). Risk : return relationship : Nigerian stock market during pre and post 2007-2009 financial meltdown. In: Academic journal of economic studies 5 (2), S. 52 - 62.

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