Portfolio Analysis session 2 : AFM NOV 2019 SOLVED QUESTION
Автор: Hommies Discussion Centre
Загружено: 2025-11-23
Просмотров: 63
Описание:
In this video, we break down NOV 2019 Portfolio Analysis Question in a simple and practical way for CPA, ACCA, finance, and investment students.
You will understand the core concepts including:
Expected Return
Risk (Standard Deviation)
Covariance & Correlation
How to determine Beta
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