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Stock Return Volatility: A Comparative Study of India and China

Chaudhary, Pankaj

Stock Return Volatility: A Comparative Study of India and China

Stock return volatility has attracted the attention of academicians and practitioners alike. The investment decisions are taken with consideration of risk along with the return dimension. This book explains the key concepts of volatility in simple manner. Further, we discuss the volatility estimation procedure and present the research output pertaining to estimating the appropriate stock return volatility model for India and China.

CHF 89.00

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ISBN 9783659930386
Sprache eng
Cover Kartonierter Einband (Kt)
Verlag LAP Lambert Academic Publishing
Jahr 20160816

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