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收益和風險管理(英文版)(ppt 47頁)

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收益管理
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收益和風險, 風險管理, 英文版
收益和風險管理(英文版)(ppt 47頁)內容簡介
收益和風險管理內容摘要:
1、Individual Securities
2、Expected Return, Variance, and Covariance
3、The Return and Risk for Portfolios
4、The Efficient Set for Two Assets
5、The Efficient Set for Many Securities
6、Diversification: An Example
7、Riskless Borrowing and Lending
8、Market Equilibrium
9、Relationship between Risk and Expected Return (CAPM)
10、Summary and Conclusions
The characteristics of individual securities that are of interest are the:
Expected Return
Variance and Standard Deviation
Covariance and Correlation

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