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Redefining Risk & Return

This book is the first attempt to re-define objective risk. It addresses the cost of running out of capital as a generalized cost syndrome;

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Risk and Return in Asian Emerging Markets

Risk and Return in Asian Emerging Markets offers readers a firm insight into the risk and return characteristics of leading Asian emerging;

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Risk and Rates of Return

Risk and Rates of Return is een boek van Maximilian Wegener;

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Asset Allocation, Performance Measurement and Downside Risk

rate risk, equity price risk, exchange rate risk and commodity price risk. For many investment decisions, there is a minimum return that has to;

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Fund Return Analysis

the risk to get steady return. This book will also help investors on how to calculate the fund returns and which matters they should focused;

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International Fixed Income Investing

. Risk and return, two fundamentals of investing, exist for any potential investment as rational investors always seek the highest return for a;

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Risk-Return Relationship and Portfolio Management

This book covers all aspects of modern finance relating to portfolio theory and risk-return relationship, offering a comprehensive guide to;

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Return Targets and Shortfall Risks

the minimum return that an investment manager regards as critical. The approach has the advantage over conventional risk measures by;

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Portfolio Analytics

money-weighted rate of return (MWR). To emphasize the importance of risk in conjunction with return, different tracking errors are analyzed and;

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Financial Return Risk and the Effect on Shareholder Wealth

This dissertation comprises five studies analyzing daily stock returns of listed firms. Studies one and two shed light on corporate;

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Bank Management and Control

This book discusses risk management, product pricing, capital management and Return on Equity comprehensively and seamlessly. Strategic;

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Risk and Return for Regulated Industries

Risk and Return for Regulated Industries provides a much-needed, comprehensive review of how cost of capital risk arises and can be;

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Quantitative Portfolio Optimisation, Asset Allocation and Risk Management

extensive examples, this book guides the reader from basic return and risk analysis, all the way through to portfolio optimization and risk;

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Managing High-Stakes Risk

and the threat of widespread geopolitical violence. This book suggests that a return to natural risk levels - those in accordance with;

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Crimmigration law in the European Union, Part 2

nationality as they risk to be penalized twice: firstly by their involuntary return and secondly by the instigation of ciminal proceedings against;

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Return on Investment Manual

an owner's return. Each chapter focuses on specific strategies and their application and relation to risk analysis, and managing key ratios.;

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At Personal Risk

This book addreses boundary violations through the lens of the professional-client relationship, dra;...

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Financial Asset Pricing

; migration dynamics of stock movements between portfolios; return calculation in international mutual funds; risk premium, market price of risk, and;

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Millennium Stocks

the return of most mutual funds, adjusted for risk. It presents a formula - developed by the author - that assists you in choosing great;

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Enterprise Risk Management

Enterprise Risk Management: Advances on its Foundation and Practice relates the fundamental enterprise risk management (ERM) concepts and;

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Enterprise Risk Management

Enterprise Risk Management: Advances on its Foundation and Practice relates the fundamental enterprise risk management (ERM) concepts and;

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Risk-Return-Kennzahlen als Instrumente des Risikomanagements in Kreditinstituten

adjusted return on capital: RAROC 3.3.2.1Berechnungsmethoden 3.3.2.2Implikationen der Berechnungsmethoden 3.3.2.3Value at Risk;

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Financial Management MCQs

quiz has 32 multiple choice questions. Risk management, return, and capital asset pricing model quiz has 76 multiple choice questions;

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Portfolio Selection Using Multi Objective Optimisation

This book explores the risk-return paradox in portfolio selection by incorporating multi-objective criteria. Empirical research;

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The Options Manual

of investment portfolios and how options can increase an investor's range of risk-return choices. Basically a good, hands-on aid. Annotation copyright;

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