246
CONDITION OF EQUIPMENT
16.1.
Investing in various securities
136
16.2.
Key assumptions of the financial asset valuation model.
Separation Theorem and market portfolio
136
16.3.
The relationship between the level
of investment risk and the
required rate of return. Inflation accounting
139
16.4.
Analysis of the movement and technical
condition of fixed
assets
141
CHAPTER
17.
METHODS OF RATING ASSESSMENT OF THE
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