Minimization of Portfolio Variance Using Markowitz Model
Publication details: St. Francis Institute of Management and Research, Mumbai 2014Description: 20Subject(s): DDC classification:- WIN/2014/FIN/PR1961
| Item type | Current library | Collection | Call number | Status | Barcode | |
|---|---|---|---|---|---|---|
| Project Report | St. Francis Institute of Management and Research | MMS Project Report | WIN/2014/FIN/PR1961 (Browse shelf(Opens below)) | Available | PR1961 |
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| WIN/2014/FIN/PR1958 Financial Modelling and Financial Model of Infosys Ltd | WIN/2014/FIN/PR1959 Comparative Study of Mutual Fund in India | WIN/2014/FIN/PR1960 Project Finance as a tool for Growth | WIN/2014/FIN/PR1961 Minimization of Portfolio Variance Using Markowitz Model | WIN/2014/FIN/PR1962 Non Performing Assets with Special Reference to State Bank of India | WIN/2014/FIN/PR1963 Investments by NBFCs in Real Estate Projects | WIN/2014/FIN/PR1964 Option Strategies |
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