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

Print

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

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