Evaluating Mutual Funds Performance in GCC Countries using linear and non-linear models; Taking Saudi Arabia and UAE as an Example

Dear Sir/Madam,

I’m looking to finish my PhD; I have already finished the theoretical part ;

I need someone to help me with the empirical work. The work is pure econometrics, which is mainly analyzing mutual funds returns in GCC (KSA & UAE) using linear and non-linear models.

Moreover, kindly note that the writer should be able to get the required data and provide it with the work.

Finally, kindly check the attached file and let me know how many pages are needed for each chapter as well as the pricing

Waiting for your reply

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