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Beyond the Basics: Unveiling the Complexities of Risk-Return Relationships

DE (Sprache: Englisch)
Autor: Naina
 
 
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Merken
 
 
The merge between financial theory and practical investing was greatly observed in the 1950s and 1960s, with the formulation of portfolio theory by Markowitz (1952) and later on the Capital Asset Pricing Model of Sharpe (1964) and Lintner (1965) which was...
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