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Capital Asset Pricing Model - Frederic P. Miller
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Frederic P. Miller:

Capital Asset Pricing Model - Paperback

ISBN: 9786130263430

[ED: Taschenbuch], [PU: Alphascript Publishing], Neuware - In finance, the capital asset pricing model (CAPM) is used to determine a theoretically appropriate required rate of return of a… More...

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Capital Asset Pricing Model - Frederic P. Miller
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Frederic P. Miller:

Capital Asset Pricing Model - Paperback

ISBN: 9786130263430

[ED: Taschenbuch], [PU: Alphascript Publishing], Neuware - In finance, the capital asset pricing model (CAPM) is used to determine a theoretically appropriate required rate of return of a… More...

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Frederic P. Miller:
Capital Asset Pricing Model - Paperback

2009

ISBN: 6130263430

[EAN: 9786130263430], Neubuch, [PU: Alphascript Publishing Dez 2009], Neuware - In finance, the capital asset pricing model (CAPM) is used to determine a theoretically appropriate require… More...

NEW BOOK. Shipping costs:Versandkostenfrei. (EUR 0.00) Rheinberg-Buch, Bergisch Gladbach, Germany [53870650] [Rating: 5 (von 5)]
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Frederic P. Miller:
Capital Asset Pricing Model - Paperback

2009, ISBN: 6130263430

[EAN: 9786130263430], Neubuch, [PU: Alphascript Publishing Dez 2009], Neuware - In finance, the capital asset pricing model (CAPM) is used to determine a theoretically appropriate require… More...

NEW BOOK. Shipping costs:Versandkostenfrei. (EUR 0.00) BuchWeltWeit Inh. Ludwig Meier e.K., Bergisch Gladbach, Germany [57449362] [Rating: 5 (von 5)]
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Capital Asset Pricing Model
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Capital Asset Pricing Model - new book

ISBN: 9786130263430

In finance, the capital asset pricing model (CAPM) is used to determine a theoretically appropriate required rate of return of an asset, if that asset is to be added to an already well-di… More...

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Capital Asset Pricing Model

In finance, the capital asset pricing model (CAPM) is used to determine a theoretically appropriate required rate of return of an asset, if that asset is to be added to an already well-diversified portfolio, given that asset's non-diversifiable risk. The model takes into account the asset's sensitivity to non-diversifiable risk (also known as systematic risk or market risk), often represented by the quantity beta (ß) in the financial industry, as well as the expected return of the market and the expected return of a theoretical risk-free asset. The model was introduced by Jack Treynor (1961, 1962), William Sharpe (1964), John Lintner (1965a,b) and Jan Mossin (1966) independently, building on the earlier work of Harry Markowitz on diversification and modern portfolio theory. Sharpe, Markowitz and Merton Miller jointly received the Nobel Memorial Prize in Economics for this contribution to the field of financial economics.

Details of the book - Capital Asset Pricing Model


EAN (ISBN-13): 9786130263430
ISBN (ISBN-10): 6130263430
Hardcover
Paperback
Publishing year: 2009
Publisher: Alphascript Publishing
124 Pages
Weight: 0,201 kg
Language: eng/Englisch

Book in our database since 2009-02-02T03:04:59+00:00 (London)
Detail page last modified on 2021-04-22T13:10:31+01:00 (London)
ISBN/EAN: 9786130263430

ISBN - alternate spelling:
613-0-26343-0, 978-613-0-26343-0
Alternate spelling and related search-keywords:
Book title: capital asset


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