Author: Chen Yunxian
Publisher:
Publish Date: 2001-09-01
Features: This book is divided into seventeen chapters, covering topics such as the theory of risk-return correspondence being the core of investment banking management, the Wall Street attention-grabbing stock valuation metric—the q-ratio, research on risk measurement scales, and the analysis of the relationship between interest rates and returns, among others. Through these contents, the book provides an in-depth and detailed elaboration on the decision-making analysis of risk and return. The book is comprehensive in content, well-structured, logically organized, and written in clear, fluent, and easily understandable language. It serves not only as a reference for those engaged in related research but is also suitable for a broad readership.
Risk: Return Decision Analysis
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