Оценка Финансовых Активов По Критерию «Риск-Доходность» С Учетом Длительности Инвестирования
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СООТНОШЕНИЕ РИСКА И ДОХОДНОСТИ; SHARPE RATIO; ВЛИЯНИЕ ДЛИТЕЛЬНОСТИ ПЕРИОДА ИНВЕСТИРОВАНИЯ; THE INFLUENCE OF THE DURATION OF THE INVESTMENT PERIOD; СРАВНЕНИЕ АКЦИЙ И ОБЛИГАЦИЙ; THE COMPARISON OF STOCKS AND BONDS; КОЭФФИЦИЕНТ ШАРПА; МОДЕЛЬ CAPM; CAPM MODEL; RISK-RETURN PROFILE;All these keywords.
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