@incollection{, D4CAF5EBD9ECE38FABE49117BDBA101D , author={{Abu BakarSeddeke}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}1663543 } @book{b0, , title={{Portfolio theory and performance analysis}} , author={{ NAmenc } and { VLe Sourd }} , year={2003} , publisher={Wiley} , address={Hoboken, NJ} } @incollection{b1, , title={{Revisiting Mutual Fund Performance Evaluation}} , author={{ TAngelidis } and { DGiamouridis } and { NTessaromatis }} , journal={{SSRN Electronic Journal}} , year={2014} } @book{b2, , title={{Risk-adjusted Performance Evaluation of Indian Mutual Fund Schemes. Paradigm}} , author={{ KArora }} , year={2015} 19 } @book{b3, , title={{Practical portfolio performance}} , author={{ CBacon }} , year={2008} , publisher={Wiley} , address={Chichester, England} } @incollection{b4, , title={{Mutual Fund Performance: Evidence from the UK}} , author={{ DBlake } and { ATimmermann }} , journal={{Review of Finance}} 2 1 , year={1998} } @incollection{b5, , title={{Mutual Fund Families and Performance Evaluation}} , author={{ DBrown } and { YWu }} , journal={{SSRN Electronic Journal}} , year={2014} } @incollection{b6, , title={{Mutual Fund Flows and Cross-Fund Learning within Families}} , author={{ DBrown } and { YWu }} , journal={{The Journal of Finance}} 71 1 , year={2016} } @book{b7, , title={{Portfolio performance measurement and benchmarking}} , author={{ JChristopherson } and { DCarinõ } and { WFerson }} , year={2009} , publisher={McGraw-Hill} , address={New York} } @book{b8, , title={{Portfolio risk analysis}} , author={{ GConnor } and { LGoldberg } and { RKorajczyk }} , year={2010} , publisher={Princeton University Press} , address={Princeton} } @incollection{b9, , title={{Portfolio Analysis in a Stable Paretian Market}} , author={{ EFama }} , journal={{Management Science}} 11 3 , year={1965} } @book{b10, , title={{Portfolio analysis. Englewoods Cliffs}} , author={{ JFrancis } and { S; N JArcher }} , year={1979} , publisher={Prentice-Hall} } @incollection{b11, , title={{Cross-Fund Subsidization in Australian Mutual Fund Families}} , author={{ THaque }} , journal={{SSRN Electronic Journal}} , year={2014} } @book{b12, , title={{Mutual funds}} , author={{ JHaslem }} , year={2003} , publisher={Blackwell Pub} , address={Malden, MA} } @incollection{b13, , booktitle={{Investment Corporation of Bangladesh :: -ICB Mutual Fund Scheme ::. [online] Icb.org.bd. Available at}} , year={2016. 2 May 2016} } @incollection{b14, , title={{The Performance of Mutual Funds in the Period 1945-1964}} , author={{ MJensen }} , journal={{The Journal of Finance}} 23 2 389 , year={1968} } @incollection{b15, , title={{Mutual fund performance evaluation: a value efficiency analysis approach}} , author={{ HKhedmatgozar } and { AKazemi } and { PHanafizadeh }} , journal={{International Journal of Electronic Finance}} 7 263 , year={2013} , note={3/4} } @incollection{b16, , title={{Manager Tenure -Real Estate Mutual Fund (REMF) Versus Equity Mutual Fund Performance}} , author={{ JKuhle }} , journal={{Journal of Business & Economics Research (JBER)}} 11 1 17 , year={2012} } @incollection{b17, , title={{Mutual Fund Performance Evaluation with Active Peer Benchmarks}} , author={{ KMacisaac }} , journal={{CFA Digest}} 6 44 , year={2014} } @book{b18, , title={{Portfolio optimization and performance analysis}} , author={{ JPrigent }} , year={2007} , publisher={Chapman & Hall/CRC} , address={Boca Raton} } @incollection{b19, , title={{Mutual Fund Performance}} , author={{ WSharpe }} , journal={{The Journal of Business}} 39 S1 119 , year={1966} } @incollection{b20, , title={{How to Use Security Analysis to Improve Portfolio Selection}} , author={{ JTreynor } and { FBlack }} , journal={{The Journal of Business}} 46 1 66 , year={1973} } @incollection{b21, , title={{How do investment patterns of independent and captive private equity funds differ?}} , author={{ TTykvová }} , journal={{Evidence from Germany. Financial Markets and Portfolio Management}} 20 4 , year={2006} } @incollection{b22, , title={{Mutual Fund Performance and Fund Age}} , author={{ DWebster }} , journal={{SSRN Electronic Journal}} , year={2014} } @incollection{b23, , title={{Performance Evaluation in Mutual Fund Families}} , author={{ YWu } and { DBrown }} , journal={{SSRN Electronic Journal}} , year={2014} } @incollection{b24, , title={{A Dynamic Model of Active Portfolio Management and Mutual Fund Performance Evaluation}} , author={{ YZhao }} , journal={{SSRN Electronic Journal}} , year={2014} }