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Portfolio management by an investor and suggesting the optimal portfolio using sharpe model

International journal of applied research · 2015 · Vol. 1(13) · pp. 167–175
Financial Markets and Investment StrategiesStock Market Forecasting MethodsRisk and Portfolio OptimizationPortfolioSharpe ratioPost-modern portfolio theoryProject portfolio managementEconomicsPortfolio optimizationBusinessActuarial scienceComputer scienceEconometrics
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