Mean, Variance, Covariance and Correlation of Asset Returns - Portfolio Risk and Return : Part One

Ekeeda - Commerce and Management
Ekeeda - Commerce and Management
13.9 هزار بار بازدید - 3 سال پیش - Subject - Portfolio ManagementVideo Name
Subject - Portfolio Management

Video Name - Mean, Variance, Covariance and Correlation of Asset Returns

Chapter - Portfolio Risk and Return : Part One

Faculty - Prof. Kevin Haria

Watch the video lecture on topic Mean, Variance, Covariance and Correlation of Asset Returns of Subject Portfolio Management by Professor Kevin Haria. Watch all Commerce and Management lectures with Ekeeda.

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3 سال پیش در تاریخ 1400/04/11 منتشر شده است.
13,985 بـار بازدید شده
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