Plus d’un million de livres à portée de main !
Bookbot

Beyond the Basics: Unveiling the Complexities of Risk-Return Relationships

Auteurs

Paramètres

En savoir plus sur le livre

This book explores the evolution of financial theory and practical investing from the 1950s, highlighting Markowitz's portfolio theory and the Capital Asset Pricing Model. It discusses key assumptions like market efficiency and investor rationality, emphasizing the need for probabilistic approaches in security analysis to optimize returns with minimal risk.

Achat du livre

Beyond the Basics: Unveiling the Complexities of Risk-Return Relationships, Naina

Langue
Année de publication
2024
product-detail.submit-box.info.binding
(souple)
Nous vous informerons par e-mail dès que nous l’aurons retrouvé.

Modes de paiement

Personne n'a encore évalué .Évaluer