5 edition of An introduction to risk and return from common stocks found in the catalog.
An introduction to risk and return from common stocks
Richard A. Brealey
Includes bibliographies and indexes.
|LC Classifications||HG4661 .B7 1983|
|The Physical Object|
|Pagination||x, 188 p. :|
|Number of Pages||188|
|LC Control Number||82023916|
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An Introduction to Risk and Return from Common Stocks Richard A. Brealej The M.I.T. Press Massachusetts Institute of Technology Cambridge, Massachusetts, and London, England. This book draws upon a wide range of American and British research material to present a concise analysis of the fundamental character of stock price changes.
The viewpoint is that of the statistician, but the book assumes no statistical knowledge on the part of its readers and should appeal especially to the professional investor and finance student.
Care is taken at each stage. AN INTRODUCTION TO RISK AND RETURN CONCEPTS AND EVIDENCE by Franco Modigliani and Gerald A. Pogue1 Today, most students of financial management would agree that the treatment of risk is the main element in financial decision making. Key current questions involve how risk should be measured, and how the.
Richard A. Brealey, "An Introduction to Risk and Return from Common Stocks, 2nd Edition," MIT Press Books, The MIT Press, edition 1, volume 1, number It takes up the valuation of common stocks and reasons for fluctuations in earnings and deals with the choice of a common stock portfolio, discussing how stocks move together, the effect of the market on stock prices, passive and active portfolios.