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Risk and Rates of Return

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

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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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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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Financial Economics

of transformation, rates of return, the financial market line, borrowing and lending, and the Fisher Separation Theorem.Portfolio theory;

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Financial Management MCQs

relationship, relationship between risk and rates of return, risk and rates of return on investment, risk and return and risk free rate of return MCQs;

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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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Essentials of Financial Risk Management

policies and strategies; suggestions for determining an organization's risk tolerance; and sources of risk associated with currency exchange rates;

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An Introduction to Risk and Return from Common Stocks

, passive and active portfolios, risk and return, and measuring investment performance.;

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Capital Markets - Institutions, Instruments, and Risk Management 5e

derivatives and securitization; theories of risk and return, with a new chapter on return distributions and risk measures; the structure of interest;

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Estimation of the Expected Market Risk Premium for Corporate Valuations

The expected market risk premium (MRP) is a crucial parameter for corporate valuations using risk-adjusted discount rates. Despite its;

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Quantitative Studies of the Renaissance Florentine Economy and Society

of Renaissance Florentine economy and society. The collection, organized by topic, source material and analysis methods, discusses risk and return;

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Quantitative Studies of the Renaissance Florentine Economy and Society

of Renaissance Florentine economy and society. The collection, organized by topic, source material and analysis methods, discusses risk and return;

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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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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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Estimating Cash Flow Basing on Adjusted Performance of a Business

This paper deals with estimating either the current or the future value of money using a risk, inflation and sensitivity adjusted cash flow;

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Managing Financial Risk for Multinational Companies in South East Asia

unexpected changes in the prices of currencies, interest rates, commodities, and equities. In the context of international accounting, financial risk;

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Multinational Financial Management

relate interest rates, exchange rates, and inflation rates, and the underlying arbitrage considerations that determine them-along with numerous;

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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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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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Cancer Risk Assessment

individual rates of exposure. This reference offers practical approaches to determine cancer risk in individuals, groups of exposed persons, and the;

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Earthquake Hazard, Risk and Disasters

and seismic risk, including causality rates, impacts on society, preparedness, insurance and mitigation. The current controversies in seismic;

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Navigating the Business Loan

in providing a concise riskreturn methodology. Introduces ways to define and manage risk Uses case studies and online tools to;

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Understanding Mortgage Meltdowns

. The use of mortgages with adjustable rates, zero down payment, interest-only, or negative amortisation features raise economic risk compared;

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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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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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Fixed Income Analytics

positive interest rates. The transition from a single bond to a bond portfolio leads to the equation for the internal rate of return. Its solution;

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