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Security Analysis and Portfolio Management - Assignment Example

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Given standard deviation with high expected returns in this case, Microsoft Corporation. Has both highest standard deviation and expected returns.
The efficient…
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Security Analysis and Portfolio Management
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Ho, T. S. Y., & Lee, S. B. (2004). The Oxford Guide to Financial Modeling Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions. Oxford, Oxford University Press,USA Chivaura, S. W. (2013). Market derived capital asset pricing model: cost of equity capital in a South African context. Thesis (M.M. (Finance & Investment))--University of the Witwatersrand, Faculty of Commerce, Law and Management, Graduate School of Public and Development Management,

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