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Finance School of management Chapter 13 Contents 13. 1 The Capital Asset Pricing Model in Brief 13.2 Determining the risk Premium on the Market portfolio 13. 3 Beta and risk Premiums on Individual Securities 13.4 Using the CaPM in Portfolio Selection 13.5 Valuation regulating Rates of return uesTc2 Finance School of Management Chapter 13 Contents 13.1 The Capital Asset Pricing Model in Brief 13.2 Determining the Risk Premium on the Market Portfolio 13.3 Beta and Risk Premiums on Individual Securities 13.4 Using the CAPM in Portfolio Selection 13.5 Valuation & Regulating Rates of Return
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