Designing a portfolio based on risk and return of various asset classes
Year of publication: |
February 2017
|
---|---|
Authors: | Soni, Rashmi |
Published in: |
International journal of economics and finance. - Toronto, ISSN 1916-971X, ZDB-ID 2531850-0. - Vol. 9.2017, 2, p. 142-149
|
Subject: | portfolio | equity | gold | debt | assets class | risk | return | Portfolio-Management | Portfolio selection | Risiko | Risk | Kapitaleinkommen | Capital income | CAPM | Kapitalanlage | Financial investment | Theorie | Theory |
-
Madhogarhia, Pawan K., (2015)
-
Notes on Fano ratio and portfolio optimization
Kakushadze, Zura, (2018)
-
The impact of investment horizon on the return and risk of investments in securities in Lithuania
Urbšienė, Laimutė, (2016)
- More ...
-
Measurement of efficiency of top 12 banks in India during DuPont analysis
Padake, Vaishall, (2015)
-
The Testing of Efficient Market Hypotheses : A Study of Indian Pharmaceutical Industry
Kumar, Abhay, (2020)
-
Measurement of Efficiency of Top 12 Banks in India Using DuPont Analysis
Padake, Vaishali, (2016)
- More ...