Portfolio theory, the calculation and interpretation of risk and return parameters for the desired portfolio mix and investment style.
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A stock rating research project
Portfolio theory, the calculation and interpretation of risk and return parameters for the desired portfolio mix and investment style.
Read moreThe portfolio theory is applied to stocks chosen according to the DividendQuality stock rating strategy. The results are interpreted.
Read moreThe portfolio theory is applied to stocks chosen according to the EstablishedGrowth stock rating strategy. The results are interpreted.
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