Optimal portfolio - Study guides, Class notes & Summaries

Looking for the best study guides, study notes and summaries about Optimal portfolio? On this page you'll find 381 study documents about Optimal portfolio.

Page 3 out of 381 results

Sort by

Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo
  • Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo

  • Exam (elaborations) • 863 pages • 2024
  • Test Bank for Corporate Finance 5ce 5th Canadian Edition by Jonathan Berk, Peter DeMarzo; David A. Stangeland. Chapter 1 The Corporation and Financial Markets Chapter 2 Introduction to Financial Statement Analysis Chapter 3 Arbitrage and Financial Decision Making Chapter 4 The Time Value of Money Chapter 5 Interest Rates Chapter 6 Valuing Bonds Chapter 7 Valuing Stocks Chapter 8 Investment Decision Rules Chapter 9 Fundamentals of Capital Budgeting Chapter 10 Capital Markets and the Pricing of Ri...
    (0)
  • $17.99
  • + learn more
Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo
  • Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo

  • Exam (elaborations) • 863 pages • 2024
  • Available in package deal
  • Test Bank for Corporate Finance 5ce 5th Canadian Edition by Jonathan Berk, Peter DeMarzo; David A. Stangeland. Chapter 1 The Corporation and Financial Markets Chapter 2 Introduction to Financial Statement Analysis Chapter 3 Arbitrage and Financial Decision Making Chapter 4 The Time Value of Money Chapter 5 Interest Rates Chapter 6 Valuing Bonds Chapter 7 Valuing Stocks Chapter 8 Investment Decision Rules Chapter 9 Fundamentals of Capital Budgeting Chapter 10 Capital Markets and the Pricing of Ri...
    (0)
  • $17.99
  • + learn more
Test Bank for CFIN7 7th Edition by Scott Besley
  • Test Bank for CFIN7 7th Edition by Scott Besley

  • Exam (elaborations) • 293 pages • 2022
  • Test Bank for CFIN7 7th Edition by Scott Besley, Eugene Brigham ISBN-13: 5150 Full Chapters test bank includes Multiple choice questions and True false Chapter 1. An Overview of Managerial Finance 1-1. What Is Finance? 1-1a. General Areas of Finance 1-1b. The Importance of Finance in Non-Finance Areas 1-2. Alternative Forms of business Organization 1-2a. Proprietorship 1-2b. Partnership 1-2c. Corpora...
    (1)
  • $29.49
  • 5x sold
  • + learn more
CFA Level 1 - 101 Must Knows 368 Questions with Verified Answers,100% CORRECT
  • CFA Level 1 - 101 Must Knows 368 Questions with Verified Answers,100% CORRECT

  • Exam (elaborations) • 54 pages • 2023
  • CFA Level 1 - 101 Must Knows 368 Questions with Verified Answers Addition Rule of Probability - CORRECT ANSWER ADDITION: P(A or B) = P(A) + P(B) - P(AB) Roy's Safety First Criterion - CORRECT ANSWER Safety First Ratio = (E(R) - Rₜ) / σ Larger ratio is better If (Rₜ) is risk free rate, then it becomes Sharpe Ratio Sharpe Ratio - CORRECT ANSWER Sharpe Ratio = (E(R) - RFR) / σ Larger ratio is better If (Rt) is higher than RFR, then it becomes Safety First Ratio Centra...
    (0)
  • $10.99
  • 1x sold
  • + learn more
FINC 3640 Exam 2 || Questions and 100% Verified Answers.
  • FINC 3640 Exam 2 || Questions and 100% Verified Answers.

  • Exam (elaborations) • 11 pages • 2024
  • CAPM Market Assumptions correct answers -All investors are price takers -All information relevant to security analysis is free and publicly available - All securities are publicly owned and traded - No taxes on investment returns -No transaction costs -Lending and borrowing at the same risk free rate are unlimited CAPM Investor Assumptions correct answers -Investors plan for the same (single-period) horizon -Investors are efficient users of analytical methods -> investors have homoge...
    (0)
  • $11.49
  • + learn more
Enterprise Risk Mgmt Test 1 Graded A Q&A Complete
  • Enterprise Risk Mgmt Test 1 Graded A Q&A Complete

  • Exam (elaborations) • 14 pages • 2024
  • Available in package deal
  • Personal Financial Planning Pyramid - Answer-bottom to top: 1.Risk mgmt protection (life/health insurance), 2.Wealth accumulation (savings & accumulation, growth & diversification, speculation investments) 3. Wealth distribution Traditional Risk Management Process (TRM) of an Organization - Answer-1. Identify Risk 2. Evaluate Risk 3. Select a Risk Management Technique to treat each risk 4. Implement and Review Risk Management (RM) Techniques to treat risk - Answer-Risk avoidance Loss Con...
    (0)
  • $7.99
  • + learn more
ECON0048 (Economics of Finance) Summary - UCL Economics BSc Second Year ECON0048 (Economics of Finance) Summary - UCL Economics BSc Second Year
  • ECON0048 (Economics of Finance) Summary - UCL Economics BSc Second Year

  • Summary • 165 pages • 2024
  • Summary of Economics of Finance taught in ECON0048 (Year 2021/2022) Detailed notes from lecture notes, textbooks and other materials. Topics covered include: 1) Basic Concepts in Finance, Arbitrage and the Money Market, 2) Measuring Return, Arbitrage in Theory and in Practice, 3) The Bond and Equity Markets, Complete Markets, Modelling Risk Aversion, 4) History of Asset Returns, Optimal Portfolio Choice, the Stochastic Discount Factor, 5) Optimal Portfolio Choice Under Mean-Variance Prefer...
    (0)
  • $20.46
  • + learn more
Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo
  • Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo

  • Exam (elaborations) • 863 pages • 2024
  • Test Bank for Corporate Finance 5ce 5th Canadian Edition by Jonathan Berk, Peter DeMarzo; David A. Stangeland. Chapter 1 The Corporation and Financial Markets Chapter 2 Introduction to Financial Statement Analysis Chapter 3 Arbitrage and Financial Decision Making Chapter 4 The Time Value of Money Chapter 5 Interest Rates Chapter 6 Valuing Bonds Chapter 7 Valuing Stocks Chapter 8 Investment Decision Rules Chapter 9 Fundamentals of Capital Budgeting Chapter 10 Capital Markets and the Pricing of Ri...
    (0)
  • $19.99
  • + learn more
Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo
  • Test Bank for Corporate Finance, Canadian Edition 5th Edition by Jonathan Berk, David Stangeland, Peter DeMarzo

  • Exam (elaborations) • 863 pages • 2024
  • Test Bank for Corporate Finance 5ce 5th Canadian Edition by Jonathan Berk, Peter DeMarzo; David A. Stangeland. Chapter 1 The Corporation and Financial Markets Chapter 2 Introduction to Financial Statement Analysis Chapter 3 Arbitrage and Financial Decision Making Chapter 4 The Time Value of Money Chapter 5 Interest Rates Chapter 6 Valuing Bonds Chapter 7 Valuing Stocks Chapter 8 Investment Decision Rules Chapter 9 Fundamentals of Capital Budgeting Chapter 10 Capital Markets and the Pricing of Ri...
    (0)
  • $16.99
  • + learn more
451 Midterm ITPM - Chapter 1-4, ERP 7-8 Exam | Questions & 100% Correct Answers  (Verified) | Latest Update | Grade A+
  • 451 Midterm ITPM - Chapter 1-4, ERP 7-8 Exam | Questions & 100% Correct Answers (Verified) | Latest Update | Grade A+

  • Exam (elaborations) • 35 pages • 2024
  • An optimal way recognized by industry to achieve a stated goal or objective. : Best Practice The longest path through a network diagram that determines the earliest completion of a project. : Critical Path Software that integrates information from multiple projects to show the status of active, approved, and future projects across an entire organization; also called portfolio project management software : Enterprise Project Management Software A set of principles that guides decision...
    (0)
  • $14.39
  • + learn more