E-Book, Englisch, 323 Seiten, eBook
Dhankar Risk-Return Relationship and Portfolio Management
1. Auflage 2019
ISBN: 978-81-322-3950-5
Verlag: Springer India
Format: PDF
Kopierschutz: 1 - PDF Watermark
E-Book, Englisch, 323 Seiten, eBook
Reihe: India Studies in Business and Economics
ISBN: 978-81-322-3950-5
Verlag: Springer India
Format: PDF
Kopierschutz: 1 - PDF Watermark
Zielgruppe
Research
Autoren/Hrsg.
Weitere Infos & Material
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.