Đang chuẩn bị liên kết để tải về tài liệu:
Lecture Money, Banking & Finance (2) - Lecture 3: Risk, Return and Portfolio Theory
Đang chuẩn bị nút TẢI XUỐNG, xin hãy chờ
Tải xuống
Lecture Money, Banking & Finance (2) - Lecture 3: Risk, Return and Portfolio Theory. Learning objectives of this chapter include: Explain the principles of portfolio diversification; demonstrate the construction of the efficient frontier; show the trade-off between risk and return; Derive the Capital Market Line (CML); show the calculation of the optimal portfolio choice based on the mean and variance of portfolio returns. |