Trang chủ › Forums › CFA® Program Level I › CFA® level I – PORTFOLIO MANAGEMENT This forum has 48 topics, 3 replies, and was last updated 7 months ago by Teaching Assistant. Recent topics CFA1.PM: least likely have capital gain distribution Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: risk free asset; a risky portfolio Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: tính expected return của stock Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: an apparent deviation the efficient market hypothesis Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: Utility Theory and Indifference Curves Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: Tính risk premium Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: tại sao môn PM lại assume standard deviation của Rrisk free = 0 Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: The time-weighted rate of return of the portfollo is closest to: Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: The analyst is most likely to consider the stock to be Started by Teaching Assistant, last reply 7 months ago by Teaching Assistant 1 CFA1.PM: Expected return of portfolio Started by Teaching Assistant, last reply 1 year ago by Teaching Assistant 1 Viewing 10 topics - 1 through 10 (of 48 total) 1 2 3 4 5 → You must be logged in to create new topics.