Determinantes de la Competitividad de las Exportaciones de Vino Chileno
This article shows that the systematic risk of an asset depends on two factors: it is proportional to the standard deviation of its rate of return and to its correlation with the optimal portfolio into which the asset is included. The theory is stated as a relation between mean and standard deviati...
Wedi'i Gadw mewn:
| Cyhoeddwyd yn: | Panorama Socioeconómico |
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| Prif Awduron: | , , , |
| Fformat: | Artigo |
| Iaith: | Espanhol |
| Cyhoeddwyd: |
Universidad de Talca
2008
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| Pynciau: | |
| Mynediad Ar-lein: | https://www.redalyc.org/articulo.oa?id=39911400008 |
| Tagiau: |
Dim Tagiau, Byddwch y cyntaf i dagio'r cofnod hwn!
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