S SIDDHARTHA NAGA BOUDDHA, MANJUNATH K R,. “Risk-Adjusted Performance of Sectoral Thematic Mutual Funds During Market Volatility: Empirical Evidence from India”. European Economic Letters (EEL), [S. l.], v. 15, n. 4, p. 2029–2037, 2025. Disponível em: https://eelet.org.uk/index.php/journal/article/view/4005. Acesso em: 23 dec. 2025.