Risk & Return Part 1 Based on Probability | MBS 2nd Sem/MBA/BBS Financial Management
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Загружено: 2023-11-11
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Risk & Return Part 1 Based on Probability | MBS 2nd Sem/MBA/BBS Financial Management
Risk and Return || BBS 2nd year Chapter 4 ||
Financial Management in Nepali || - Gurubaa
Fundamentals of Financial Management// BBS 2nd
years// Fundamentals of Risk and Return // part-1
Risk and Return in Nepali | Chapter 4 | BBS 2nd year
Finance || TU Solution || Financial Management
Here we have solved the numerical problems from the chapter "Risk and Return" from MBS 2nd Semester course designed by Tribhuvan University. We have solved the numerical problems related to probability. We have discussed the procedure of calculating expected return E(R), standard deviation(S.D.), Coefficient of Variation (C.V.), Covariance (COV) and Coefficient of Correlation.
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