Financial Markets Economics + Maths

University of East Anglia

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Financial Markets/Corporate Finance [Economics + Maths] Summary Notes + [Q+A] - Detailed & Quality [1:1] Financial Markets/Corporate Finance [Economics + Maths] Summary Notes + [Q+A] - Detailed & Quality [1:1]
  • Financial Markets/Corporate Finance [Economics + Maths] Summary Notes + [Q+A] - Detailed & Quality [1:1]

  • Summary • 7 pages • 2020
  • Notes finely hand-written on electronic Ipad software - explaining the module of Financial Markets by [1:1 Economics Graduate]. Topics include: Risk and Return, Common Measures of Risk and ­Return, Probability Distributions, Expected Return, Variance and Standard Deviation, Historical Returns of Stocks and Bonds, Computing Historical Returns, Average Annual Returns, The Variance and Volatility of Returns , Estimation Error: Using Past Returns to Predict the Future, Arithmetic Average Retur...
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