TU Solution of Risk and Return || Expected Return, SD, CV & Portfolio || BBS 2nd Year Finance
Автор: Gurubaa
Загружено: 2025-11-18
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This video offers the solution to the past TU Question from BBS 2nd year Finance (Financial Management)’s chapter named Risk and Return. We have taught the process of identifying the expected (average) rate of return, standard deviation (risk), CV (Coefficient of Variation) of given stock and also identifying risk (Standard deviation) and return i.e. E(R) of portfolio.
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