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Ng, Kim Wah
Modern finance theory is based on the simple concept of risk and return trade-off. Risk is based upon one holding a diversified portfolio to get the lowest level of risk for a given expected return. This is the foundation of Markowitz’s mean-varian
Externí odkaz:
https://explore.openaire.eu/search/publication?articleId=doi_________::c2c97944f6a406e2cd5798816f668da3
Publikováno v:
Journal of Pharmaceutical Sciences; July 1974, Vol. 63 Issue: 7 p1155-1157, 3p