Today we are going to talk about:
1) Rate of Return
2) Standard Deviation
3) Correlation Coefficient
4) Coefficient of Variation
5) Diversifiable vs Market Risk
YouTube Version: https://youtu.be/gl6SlOYpNzA Part II will be about the CAPM .
Stay Tuned !
References:
Chapter 6 http://www.swlearning.com/finance/brigham/theory11e/tool_kits.html More Videos: This is my playlist of tutorials for MBA students. I am redoing these videos as you can see. :) I am soooo excited to do this. Let's go 2021! https://youtube.com/playlist?list=PL8455AAAEC5FBDABF.
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