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An Overview of Modern Financial Economics (Classic Reprint)

An Overview of Modern Financial Economics (Classic Reprint)

Paperback (01 Aug 2018)

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Publisher's Synopsis

Excerpt from An Overview of Modern Financial Economics

The static portfolio theory concerns with finding the portfolio of assets that has a given level of expected rate of return and has a minimum risk exposure measured by the variance of the return on a portfolio. A portfolio having this property will be said to be a mean-variance efficient portfolio.

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Book information

ISBN: 9781334349409
Publisher: Fb&c Ltd
Imprint: Forgotten Books
Pub date:
Number of pages: 68
Weight: 104g
Height: 229mm
Width: 152mm
Spine width: 4mm