期刊论文详细信息
| Risk Governance & Control: Financial Markets & Institutions | |
| APPLICATION OF MARKOWITZ MODEL IN ANALYSING RISK AND RETURN A CASE STUDY OF BSE STOCK | |
| Manas Pandey1  | |
| 关键词: Efficient Portfolios; Portfolio Optimization; Efficient Frontier; Variance; Covariance; Risk and Return; | |
| DOI : 10.22495/rgcv2i1art1 | |
| 学科分类:社会科学、人文和艺术(综合) | |
| 来源: Virtus Interpress | |
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