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Textbook Notes for Steve Balaban

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WLUBU473Steve BalabanSpring

BU473 Chapter 1: Chapter 1

OC933363 Page
22 Jun 2016
21
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WLUBU473Steve BalabanSpring

BU473 Chapter 7: Chapter 7

OC933364 Page
22 Jun 2016
27
Developing a capital market line: combining a risk-free asset with a risky portfolio, m, expected return = the weighted average of the 2 assets, standa
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WLUBU473Steve BalabanSpring

BU473 Chapter Notes - Chapter 3: Neuropeptide Y, Money Market Fund, Preferred Stock

OC933363 Page
22 Jun 2016
18
Chapter 3: selecting investments in a global market. The case for global investments: 3 reasons to invest abroad, more investment choices, rates of ret
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WLUBU473Steve BalabanSpring

BU473 Chapter Notes - Chapter 4: Systematic Risk, Stock Split, S&P 500 Index

OC933365 Page
22 Jun 2016
17
Characteristics of a good market: availability of past transaction information, must be timely and accurate. Low transaction costs: rapid adjustments o
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WLUBU473Steve BalabanSpring

BU473 Chapter Notes - Chapter 17: Mutual Fund, Money Market Fund, Mutual Fund Fees And Expenses

OC933363 Page
22 Jun 2016
21
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WLUBU473Steve BalabanSpring

BU473 Chapter Notes - Chapter 15: Standard Deviation, Tracking Error

OC933362 Page
22 Jun 2016
23
Long-term buy-and-hold strategy: usually tracks an index over time, designed to match index return. Active equity portfolio management strategies: atte
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