FIN 402 • Final • Investments
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Eğitmen

Ömür Abay
Konular
Capital Allocation to Risky Asset
5 konu anlatımı · 11 soru
Risk Aversion & Utility Theory
The Capital Allocation Decision
The Capital Allocation Line
Risk Tolerance & Optimal Choice
Passive Strategies & The CML
Question 1
Question 2
Question 3
Question 4
Question 5
Question 6
Question 7
Question 8
Question 9
Question 10
Question 11
Optimal Risky Portfolios
6 konu anlatımı · 11 soru
Risk & The Investment Decision
Combining Two Risky Assets
The Optimal Risky Portfolio
The Markowitz Model
The Power of Diversification
Diversification in Practice
Question 1
Question 2
Question 3
Question 4
Question 5
Question 6
Question 7
Question 8
Question 9
Question 10
Question 11
The Capital Asset Pricing Model
5 konu anlatımı · 5 soru
Foundations of the CAPM
The Market Risk Premium
Beta & Expected Returns
The Security Market Line
Extensions & Liquidity
Question 1
Question 2
Question 3
Question 4
Question 5
PAST FINAL QUESTIONS
15 soru
Capital Allocation to Risky Asset
Capital Allocation to Risky Asset
Capital Allocation to Risky Asset
Capital Allocation to Risky Asset
Capital Allocation to Risky Asset
Capital Allocation to Risky Asset
Capital Allocation to Risky Asset
Optimal Risky Portfolios
Optimal Risky Portfolios
Optimal Risky Portfolios
Optimal Risky Portfolios
Optimal Risky Portfolios
The Capital Asset Pricing Model
The Capital Asset Pricing Model
The Capital Asset Pricing Model