A Markowitz portfolio model analysis of actively traded backdoor listed stocks: A risk lover's point of view
Date of Publication
1997
Document Type
Bachelor's Thesis
Degree Name
Bachelor of Science in Commerce Major in Management of Financial Institutions
College
Ramon V. Del Rosario College of Business
Department/Unit
Financial Management
Abstract Format
html
Language
English
Format
Accession Number
TU07683
Shelf Location
Archives, The Learning Commons, 12F, Henry Sy Sr. Hall
Physical Description
52 numb. leaves
Keywords
Econometric models; Portfolio management; Investment analysis; Risk; Stocks
Recommended Citation
Bunyi, E., Diaz, S., Fernandez, C., & Guevarra, C. (1997). A Markowitz portfolio model analysis of actively traded backdoor listed stocks: A risk lover's point of view. Retrieved from https://animorepository.dlsu.edu.ph/etd_bachelors/16353
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