Mean variance approach and downside risk framework : a comparison /

Project Paper (Bachelor of Science (Property Management)) - Universiti Teknologi Malaysia, 2005

Bibliographic Details
Main Author: 410196 Low, Su Tiang
Format:
Language:eng
Published: Skudai : Universiti Teknologi Malaysia, 2005
Subjects:
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author 410196 Low, Su Tiang
author_facet 410196 Low, Su Tiang
author_sort 410196 Low, Su Tiang
collection OCEAN
description Project Paper (Bachelor of Science (Property Management)) - Universiti Teknologi Malaysia, 2005
first_indexed 2024-03-05T04:37:47Z
format
id KOHA-OAI-TEST:322776
institution Universiti Teknologi Malaysia - OCEAN
language eng
last_indexed 2024-03-05T04:37:47Z
publishDate 2005
publisher Skudai : Universiti Teknologi Malaysia,
record_format dspace
spelling KOHA-OAI-TEST:3227762020-12-19T17:10:53ZMean variance approach and downside risk framework : a comparison / 410196 Low, Su Tiang Skudai : Universiti Teknologi Malaysia,2005engProject Paper (Bachelor of Science (Property Management)) - Universiti Teknologi Malaysia, 2005Negative microfilm : MFL 13143 ra36FABULInvestmentsInvestment analysisRisk managementPortfolio management
spellingShingle Investments
Investment analysis
Risk management
Portfolio management
410196 Low, Su Tiang
Mean variance approach and downside risk framework : a comparison /
title Mean variance approach and downside risk framework : a comparison /
title_full Mean variance approach and downside risk framework : a comparison /
title_fullStr Mean variance approach and downside risk framework : a comparison /
title_full_unstemmed Mean variance approach and downside risk framework : a comparison /
title_short Mean variance approach and downside risk framework : a comparison /
title_sort mean variance approach and downside risk framework a comparison
topic Investments
Investment analysis
Risk management
Portfolio management
work_keys_str_mv AT 410196lowsutiang meanvarianceapproachanddownsideriskframeworkacomparison