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FRM一级:风险管理基础
7 - The standard capital asset pricing model
7-1 Foundation of quantitative methods
7-2 Markowitz portfolio theory
7-3 Effects of correlation on diversification benefits
7-4 Markowitz efficient frontier
7-5 Capital Market Line (CML)
7-6 Systematic and Unsystematic Risk、SML、CAPM
7-7 Example