Portfolio diversification and supporting financial institutions: CAPM model [Financial markets]

Registro completo de metadados
MetadadosDescriçãoIdioma
Autor(es): dc.creatorShiller, Robert J.-
Data de aceite: dc.date.accessioned2019-08-21T19:37:44Z-
Data de disponibilização: dc.date.available2019-08-21T19:37:44Z-
Data de envio: dc.date.issued2010-03-19-
Data de envio: dc.date.issued2010-03-19-
Data de envio: dc.date.issued2010-03-19-
Data de envio: dc.date.issued2010-03-18-
Data de envio: dc.date.issued2008-
Fonte completa do material: dc.identifierhttp://objetoseducacionais2.mec.gov.br/handle/mec/13301-
Fonte: dc.identifier.urihttp://educapes.capes.gov.br/handle/capes/495848-
Descrição: dc.descriptionEducação Superior::Ciências Sociais Aplicadas::Economia-
Descrição: dc.descriptionPresents a course with the Professor of Economics at Yale University, Robert Shiller. In this lecture the professor talks about portfolio diversification and supporting financial institutions. He explains that a financial institution must offer a variable portfolio of investments, among them the professor cites the following ones: the allocation of financial resources in stocks, bonds, riskless, assets, oil and other assets determine the expected return and risk of a portfolio-
Idioma: dc.languageen-
Publicador: dc.publisherYale University, Open Yale Courses-
Relação: dc.relationPortfolio Diversification.mp3-
Direitos: dc.rightsYale University 2009. Some rights reserved. Unless otherwise indicated in the applicable Credits section of certain lecture pages, all content on this web site is licensed under a Creative Commons License. Please refer to the Credits section to determine whether third-party restrictions on the use of content apply-
???dc.source???: dc.sourcehttp://oyc.yale.edu/economics/financial-markets/content/sessions.html-
Palavras-chave: dc.subjectEducação Superior::Ciências Sociais Aplicadas::Economia::Teoria Monetária e Financeira-
Palavras-chave: dc.subjectRiskless-
Palavras-chave: dc.subjectStocks-
Palavras-chave: dc.subjectFinancial institutions-
Título: dc.titlePortfolio diversification and supporting financial institutions: CAPM model [Financial markets]-
Tipo de arquivo: dc.typeáudio-
???dc.description2???: dc.description2To learn financial markets-
???dc.description3???: dc.description3Duration: 1 h, 07 min. To hear this resource its necessary the instalation of Quick time. Available at: <http://www.apple.com/pt/quicktime/>-
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