Portfolio analysis
Evidence, explanation of the cost of the award. A combination of cost and momentum strategies. Working with abnormal distributions. Testing of median values for significance. Measuring the performance of built portfolios. Conducting regression analysis.
Рубрика | Финансы, деньги и налоги |
Предмет | Finance |
Вид | курсовая работа |
Язык | английский |
Прислал(а) | refsurf |
Дата добавления | 08.02.2017 |
Размер файла | 79,7 K |
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