4.2. The expected return and the standard deviation for a portfolio of securities. Some empirical evidence

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En provenance du cours de Moscow Institute of Physics and Technology
Principles of Corporate Finance – A Tale of Value
3 notes
Moscow Institute of Physics and Technology
3 notes
Cours 2 sur 5 dans Specialization Understanding Modern Finance
À partir de la leçon
Risk and Return – From Basics to Reality

Rencontrer les enseignants

  • Konstantin Kontor
    Konstantin Kontor
    Director and Professor of Finance and Strategy
    American Institute of Business and Economics (AIBEc)

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