Yield and risk of developed and emerging stock markets
Porovanie rizík a výnosov na rozvinutých trhoch, USA, UK a Nemecka s rozvíjajúcimi trhmi Brazílie, Hong Kongu a Austrálie. Porované v v dvoch obdobiach, 2001-2006 a 2007- 2012. Ukazovatele trhov: štandartná odchýlka, variačný koeficient a Shaarpeov pomer.
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| Language: | English |
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