Deutsch
Deutschland
Anmelden
Tipp von eurobuch.de
Ähnliche Bücher
Weitere, andere Bücher, die diesem Buch sehr ähnlich sein könnten:
Buch verkaufen
Anbieter, die das Buch mit der ISBN 9783659175060 ankaufen:
Suchtools
Buchtipps
Aktuelles
Werbung
FILTER
- 0 Ergebnisse
Kleinster Preis: 59,00 €, größter Preis: 70,91 €, Mittelwert: 63,31 €
Risk Modeling and a study of CAPM for major Indian companies - Fosuhene Akua Asarebea#Muthucattu Thomas Paul
Vergriffenes Buch, derzeit bei uns nicht verfügbar.
(*)
Fosuhene Akua Asarebea#Muthucattu Thomas Paul:
Risk Modeling and a study of CAPM for major Indian companies - neues Buch

2009, ISBN: 9783659175060

ID: 7d938d7839a2541247c8779f23ec911d

An Empirical Study On Stock Returns Risk and Return are topics which stimulated the imagination of academicians for decades.After the development of portfolio theory,once risk diversification is accompalished,the concept of the market risk and betas have enabled the academic community to estimate the parameters of risk and return.In this context the authors have applied the CAPM study for India .The study covers five companies listed on the National Stock Exchange of India (NSE). These companies are the State Bank of India, Tata Motors, and Reliance group of Companies, Infosystch and HFDC bank.Monthly data for 2005 to 2009 period are collected and analyszed .After giving an excellent theoretical exposition of the CAPM theory,the authors estimate econometrically the risk and return paramters.Finally, the authors contribute to the ongoing discussion on why the equity risk premiums have been recently higher than the historical averages. Bücher / Fremdsprachige Bücher / Englische Bücher / Ratgeber & Freizeit / Recht & Wirtschaft 978-3-659-17506-0, LAP Lambert Academic Publishing

Neues Buch Buch.ch
Nr. 32519262 Versandkosten:Bei Bestellungen innerhalb der Schweiz berechnen wir Fr. 3.50 Portokosten, Bestellungen ab EUR Fr. 75.00 sind frei. Die voraussichtliche Versanddauer liegt bei 1 bis 2 Werktagen., Versandfertig innert 3 - 5 Werktagen, zzgl. Versandkosten
Details...
(*) Derzeit vergriffen bedeutet, dass dieser Titel momentan auf keiner der angeschlossenen Plattform verfügbar ist.
Risk Modeling and a study of CAPM for major Indian companies - Fosuhene Akua Asarebea#Muthucattu Thomas Paul
Vergriffenes Buch, derzeit bei uns nicht verfügbar.
(*)
Fosuhene Akua Asarebea#Muthucattu Thomas Paul:
Risk Modeling and a study of CAPM for major Indian companies - neues Buch

2009, ISBN: 9783659175060

ID: 135874259

Risk and Return are topics which stimulated the imagination of academicians for decades.After the development of portfolio theory,once risk diversification is accompalished,the concept of the market risk and betas have enabled the academic community to estimate the parameters of risk and return.In this context the authors have applied the CAPM study for India .The study covers five companies listed on the National Stock Exchange of India (NSE). These companies are the State Bank of India, Tata Motors, and Reliance group of Companies, Infosystch and HFDC bank.Monthly data for 2005 to 2009 period are collected and analyszed .After giving an excellent theoretical exposition of the CAPM theory,the authors estimate econometrically the risk and return paramters.Finally, the authors contribute to the ongoing discussion on why the equity risk premiums have been recently higher than the historical averages. An Empirical Study On Stock Returns Buch (fremdspr.) Bücher>Fremdsprachige Bücher>Englische Bücher>Ratgeber & Freizeit>Recht & Wirtschaft, LAP Lambert Academic Publishing

Neues Buch Thalia.de
No. 32519262 Versandkosten:, Versandfertig in 2 - 3 Tagen, DE (EUR 0.00)
Details...
(*) Derzeit vergriffen bedeutet, dass dieser Titel momentan auf keiner der angeschlossenen Plattform verfügbar ist.
Risk Modeling and a study of CAPM for major Indian companies - Muthucattu Thomas Paul
Vergriffenes Buch, derzeit bei uns nicht verfügbar.
(*)
Muthucattu Thomas Paul:
Risk Modeling and a study of CAPM for major Indian companies - Taschenbuch

2012, ISBN: 3659175064

ID: 10409371134

[EAN: 9783659175060], Neubuch, [PU: LAP Lambert Academic Publishing Jul 2012], This item is printed on demand - Print on Demand Neuware - Risk and Return are topics which stimulated the imagination of academicians for decades.After the development of portfolio theory,once risk diversification is accompalished,the concept of the market risk and betas have enabled the academic community to estimate the parameters of risk and return.In this context the authors have applied the CAPM study for India .The study covers five companies listed on the National Stock Exchange of India (NSE). These companies are the State Bank of India, Tata Motors, and Reliance group of Companies, Infosystch and HFDC bank.Monthly data for 2005 to 2009 period are collected and analyszed .After giving an excellent theoretical exposition of the CAPM theory,the authors estimate econometrically the risk and return paramters.Finally, the authors contribute to the ongoing discussion on why the equity risk premiums have been recently higher than the historical averages. 160 pp. Englisch

Neues Buch Abebooks.de
AHA-BUCH GmbH, Einbeck, Germany [51283250] [Rating: 5 (von 5)]
NEW BOOK Versandkosten:Versandkostenfrei (EUR 0.00)
Details...
(*) Derzeit vergriffen bedeutet, dass dieser Titel momentan auf keiner der angeschlossenen Plattform verfügbar ist.
Risk Modeling and a study of CAPM for major Indian companies - Muthucattu Thomas Paul, Fosuhene Akua Asarebea
Vergriffenes Buch, derzeit bei uns nicht verfügbar.
(*)
Muthucattu Thomas Paul, Fosuhene Akua Asarebea:
Risk Modeling and a study of CAPM for major Indian companies - neues Buch

ISBN: 9783659175060

Muthucattu Thomas Paul, Fosuhene Akua Asarebea,Paperback, English-language edition,Pub by AV Akademikerverlag GmbH & Co. KG. Books Books ~~ Business & Economics~~ General Risk-Modeling-and-a-study-of-CAPM-for-major-Indian-companies~~Muthucattu-Thomas-Paul AV Akademikerverlag GmbH & Co. KG.

Neues Buch [USA] Barnesandnoble.com
Free Shipping on eligible orders over $25 Versandkosten:zzgl. Versandkosten
Details...
(*) Derzeit vergriffen bedeutet, dass dieser Titel momentan auf keiner der angeschlossenen Plattform verfügbar ist.
Risk Modeling and a study of CAPM for major Indian companies - Paul, Muthucattu Thomas / Asarebea, Fosuhene Akua
Vergriffenes Buch, derzeit bei uns nicht verfügbar.
(*)
Paul, Muthucattu Thomas / Asarebea, Fosuhene Akua:
Risk Modeling and a study of CAPM for major Indian companies - Taschenbuch

2012, ISBN: 3659175064

Gebundene Ausgabe, ID: 12385534

An Empirical Study On Stock Returns - Buch, gebundene Ausgabe, 160 S., Beilagen: Paperback, Erschienen: 2012 LAP Lambert Academic Publishing

Neues Buch Buch24.de
buch24de
Versandkosten:zzgl. Versandkosten
Details...
(*) Derzeit vergriffen bedeutet, dass dieser Titel momentan auf keiner der angeschlossenen Plattform verfügbar ist.