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Risk-Return Relationship and Portfolio Management

Raj S. Dhankar

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Autorius Raj S. Dhankar
Leidimo metai 2019 m.
Puslapių skč. 323 psl.
Viršelis Kietas viršelis
ISBN 9788132239482
Leidimas 2019 ed.

Risk-Return Relationship and Portfolio Management

Discover the intricate world of finance with Risk-Return Relationship and Portfolio Management by Raj S. Dhankar. Published by Springer in 2019, this insightful hardback edition spans 323 pages and serves as a comprehensive guide to modern finance. Dive deep into the essential aspects of portfolio theory and the crucial risk-return relationship that underpins effective portfolio management.

In this book, Dhankar meticulously explores the importance, measurement, and application of the risk-return hypothesis, making it an invaluable resource for both finance students and professionals. Whether you are looking to enhance your understanding of investment strategies or seeking to optimize your portfolio, this book provides the tools and knowledge you need to navigate the complexities of risk and return in finance.

Enhance your financial acumen and make informed investment decisions with this essential read.

Book cover of: Risk-Return Relationship and Portfolio Management. By: Raj S. Dhankar

Risk-Return Relationship and Portfoli...

Tavaline hind €133,37
Müügihind €133,37 Tavaline hind €137,49