Standard Deviation and expected Return. Scenario Analysis Measure Risk Investment Course. CFA exam.

Поделиться
HTML-код
  • Опубликовано: 29 авг 2024

Комментарии • 10

  • @kingdoggie5231
    @kingdoggie5231 8 месяцев назад +3

    I had to subscribe at the end as the explanation was so clear. Thank you

    • @AccountingLectures
      @AccountingLectures  8 месяцев назад +1

      Thanks for the sub! and please visit the website for more farhatlectures.com/ Start your free trial!

    • @nakatopriscilla5804
      @nakatopriscilla5804 6 месяцев назад

      me too it was so resourceful, thank you

  • @abhishekkrishna5729
    @abhishekkrishna5729 6 месяцев назад +2

    Awesome video ...Beautifully explained

    • @AccountingLectures
      @AccountingLectures  6 месяцев назад

      Thanks a lot 😊Thank you and please visit the website for more farhatlectures.com/ Start your free trial!
      Contact me for more:
      LinkedIn: www.linkedin.com/in/professorfarhat.
      Facebook: facebook.com/farhatlectures
      Instagram: instagram.com/farhatlectures/?hl=en
      Reddit: www.reddit.com/user/Farhatlectures

  • @tuyishimiresamuel1257
    @tuyishimiresamuel1257 11 месяцев назад +2

    Thank you sur

    • @AccountingLectures
      @AccountingLectures  11 месяцев назад

      Thank you too! and please visit the website for more farhatlectures.com/

  • @hamrlik123
    @hamrlik123 Год назад +1

    are the videos arranged in order because I don't see the order in the playlist

    • @AccountingLectures
      @AccountingLectures  Год назад

      Hi Benjamin, for complete list with MCQs visit my website: farhatlectures.com/

  • @esmeraldaperez1034
    @esmeraldaperez1034 11 месяцев назад

    How did you find HPR?