胎儿 发表于 2025-3-26 23:34:23
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Risk Diversification and Market Index Modelon-market risk declines with diversification. The results, so obtained, are fully coinciding with the generalization of market index model, and thereby hold it applicable in Indian stock market, in establishing the trade-off between risk and return.咯咯笑 发表于 2025-3-27 11:58:41
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Stock Market Overreactionhe grey areas in finance and leads to an ongoing debate on its existence. The study critically evaluates the work of various authors discussing the possible causes of the effect and its behavioural aspects.Insulin 发表于 2025-3-27 22:56:12
Book 2019tance, measurement and application of the risk–return hypothesis in portfolio management. It is divided into five parts: Part I discusses the valuation of capital assets and presents various techniques and models used in this context. Part II then addresses market efficiency and capital market modelAirtight 发表于 2025-3-28 05:53:42
Raj S. Dhankari><m:mn>0</m:mn></m:msub><m:msup><m:mi>τ</m:mi><m:mi>n</m:mi></m:msup><m:mo>+</m:mo><m:msub><m:mi>a</m:mi><m:mn>1</m:mn></m:msub><m:msup><m:mi>τ</m:mi><m:mrow><m:mi>n</m:mi><m:mo>−</m:mo><m:mn>1</m:mn></m:mrow></m:msup><m:mo>+</m:mo><m:msub><m:mi>a</m:mi><m:mn>2</m:mn></m:msub><mastopexy 发表于 2025-3-28 07:04:39
i><m:mn>0</m:mn></m:msub><m:msup><m:mi>τ</m:mi><m:mi>n</m:mi></m:msup><m:mo>+</m:mo><m:msub><m:mi>a</m:mi><m:mn>1</m:mn></m:msub><m:msup><m:mi>τ</m:mi><m:mrow><m:mi>n</m:mi><m:mo>−</m:mo><m:mn>1</m:mn></m:mrow></m:msup><m:mo>+</m:mo><m:msub><m:mi>a</m:mi><m:mn>2</m:mn></m:msub><乐章 发表于 2025-3-28 12:54:18
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