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Optimal Portfolio Analysis

English · Paperback / Softback

Description

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Assess the investment opportunities emerging in the newly developing stock markets of Arab Region and compare it from the perspective of both the US and Arabic investors who seek to diversify internationally. Saudi Arabia, Jordan, Kuwait and Qatar, representative of the Arabian markets during the period Jan 2003 to Jan 2008, the most advantageous investment strategy is derived using Markowitz Variance-Covariance Analysis.

Product details

Authors Manaf Mallouhi
Publisher LAP Lambert Academic Publishing
 
Languages English
Product format Paperback / Softback
Released 01.01.2013
 
EAN 9783843361651
ISBN 978-3-8433-6165-1
No. of pages 60
Subject Guides > Law, job, finance > Money, bank, stock market

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