Risk-return relationship and portfol...
Dhankar, Raj S.

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  • Risk-return relationship and portfolio management
  • 紀錄類型: 書目-電子資源 : Monograph/item
    正題名/作者: Risk-return relationship and portfolio management/ by Raj S. Dhankar.
    作者: Dhankar, Raj S.
    出版者: New Delhi :Springer India : : 2019.,
    面頁冊數: xxii, 323 p. :ill. (some col.), digital ;24 cm.
    內容註: Capital Asset Pricing Model: An Overview -- Indian Stock Market and Relevance of Capital Asset Pricing Mod -- Non-Linearties, Garch Effects and Emerging Stock Markets -- Indian Stock Market and Contrarian and Momentum Strategies -- Single Factor Model and Portfolio Management -- Variance Ratio Test , ARIMA Model and Stock Price Behaviour -- Multi-Factors Model and Portfolio Management -- Market Efficiency and Stock Market -- Risk-Return Analysis and Investment Decisions -- Risk-Return Analysis and Stock Markets -- Time-Series of Return and Volatility -- Correlation, Uncertainty and Investment Decisions -- Risk-Return Assessment: An Overview.
    Contained By: Springer eBooks
    標題: Risk-return relationships. -
    電子資源: https://doi.org/10.1007/978-81-322-3950-5
    ISBN: 9788132239505
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