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The top documents tagged [expected return11]
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expected return11
The Capital Asset Pricing Model (CAPM) Chapter 10.
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Lecture Topic 10: Return and Risk Asset Pricing Model - CAPM Presentation to Cox MBA Students FINA 6214: International Financial Markets Presentation to.
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Portfolio Theory Finance - Pedro Barroso1. Motivation Mean-variance portfolio analysis – Developed by Harry Markowitz in the early 1960’s (1990 Nobel.
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