Fr. 98.00

Impact of some variables on Common Stock Returns

English, German · Paperback / Softback

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Description

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This book provides comprehensive concepts, literature and tools of security analysis. The book provides a measure of the risk of an individual security that is in line with portfolio theory. It also empowers one with the ability to estimate the unverifiable risk of a single asset and compare it with the diversified risk of a well-diversified portfolio. It guides one to develop project screening rates, value companies and measure the impact of policy change on risk. The book is a good companion to students of finance, accounting, economics, and business administration and management studies in general. It also serves as a useful and powerful tool to stock brokers, investors, policy makers and researchers in the mentioned subject areas.

About the author










The Author, A. Garba, holds a Ph.D in Management studies from Usmanu Danfodio University, Sokoto, Nigeria, M.Sc in Banking and Finance and B.A (Ed) Edu./ Econs from Bayero University, Kano, Nigeria. He has taught at Nigeria tertiary institutions for over 20 years. He is currently a senior lecturer at Federal University Dutsinma, Nigeria.

Product details

Authors Abdulkarim Garba
Publisher LAP Lambert Academic Publishing
 
Languages English, German
Product format Paperback / Softback
Released 01.01.2014
 
EAN 9783659612749
ISBN 978-3-659-61274-9
No. of pages 232
Subject Guides > Law, job, finance > Money, bank, stock market

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