Portfolio Management. Return and risk evaluation

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Seminar paper from the year 2015 in the subject Economics - Finance, grade: 2.1, BPP University (Business School), course: MSc Accounting and Finance, language: English, abstract: It is very important for a company to identify the associated risks, understand the causes of risks and find out the way to minimize the risks and how these can affect the required return by investors in order to achieve...
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Seminar paper from the year 2015 in the subject Economics - Finance, grade: 2.1, BPP University (Business School), course: MSc Accounting and Finance, language: English, abstract: It is very important for a company to identify the associated risks, understand the causes of risks and find out the way to minimize the risks and how these can affect the required return by investors in order to achieve...
Weiterlesen
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Details

  • ISBN: 9783668916289
  • Seitenzahl: 22
  • Kopierschutz: Kein
  • Erscheinungsdatum: 04.04.2019
  • Verlag: GRIN VERLAG
  • Sprache: Englisch
  • Formate: pdf