Theses on a related topic (having the same keywords):
beta coefficient, expected return, ocekavana vynosnost, portfolio theory, markowitzuv model, teorie portfolia, expected risk, correlation, korelace, markowitz model, capital asset pricing model, smerodatna odchylka, ? koeficient, model capmKeywords ordered alphabetically | Keywords ordered by occurrence rate
151.
Vítková, Markéta
Faculty: Faculty of Medicine
Year: 2022, studies completed, degree conferred: Mgr.
Programme/field: Optometry / Optometry
Master's thesis defence: Korelace různých metod měření rohovkových parametrů | Theses on a related topic
Faculty: Faculty of Medicine
Year: 2022, studies completed, degree conferred: Mgr.
Programme/field: Optometry / Optometry
Master's thesis defence: Korelace různých metod měření rohovkových parametrů | Theses on a related topic
152.
Wu, Youzhen
Faculty: Faculty of Economics and Administration
Year: 2022, studies completed, degree conferred: Ing.
Programme/field: Finance / Finance
Master's thesis defence: Portfolio Optimization for Retail Investor from China | Theses on a related topic
Faculty: Faculty of Economics and Administration
Year: 2022, studies completed, degree conferred: Ing.
Programme/field: Finance / Finance
Master's thesis defence: Portfolio Optimization for Retail Investor from China | Theses on a related topic
153.
Zhukevych, Stepan
Faculty: Faculty of Economics and Administration
Year: 2021, studies completed, degree conferred: Ing.
Programme/field: Business Management / Business Management
Master's thesis defence: Strategic Aspects of TNCs Entry into the Markets of Central and Eastern Europe | Theses on a related topic
Faculty: Faculty of Economics and Administration
Year: 2021, studies completed, degree conferred: Ing.
Programme/field: Business Management / Business Management
Master's thesis defence: Strategic Aspects of TNCs Entry into the Markets of Central and Eastern Europe | Theses on a related topic