Lecture Introduction to finance: Markets, investments, and financial management (14th edition): Chapter 12 - Melicher, Norton
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Chapter 12 - Financial return and risk concepts. This chapter includes contents: Know how to compute arithmetic averages, variances, and standard deviations using return data for a single financial asset; understand the sources of risk; know how to compute expected return and expected variance using scenario analysis;...
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Lecture Introduction to finance: Markets, investments, and financial management (14th edition): Chapter 12 - Melicher, Norton
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Lecture Introduction to finance: Markets, investments, and financial management (14th edition): Chapter 12 - Melicher, Norton
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