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This paper aims to find the best portfolio of the offshore bond fund. I choose a portfolio comprised of 20 bonds mutual fund taken from an 89 months sample of data from July 2003 to Dec 2010.According to the return / variance portfolio theor
This paper aims to find the best portfolio of the offshore bond fund. I choose a portfolio comprised of 20 bonds mutual fund taken from an 89 months sample of data from July 2003 to Dec 2010.According to the return / variance portfolio theor
Externí odkaz:
http://ndltd.ncl.edu.tw/handle/26109477752144205644