Generalized Approach of Some Portfolio Optimization

dc.contributor.authorRafique Ahmad
dc.contributor.authorSP22-RMT-012
dc.contributor.authorLHR TP 8719
dc.contributor.authorDr. Sarfraz Ahmad
dc.date.accessioned2026-03-13T14:54:02Z
dc.date.issued2023-03-13
dc.description.abstractThe process of forming an investment portfolio though portfolio improvement targets to improve expected return for a given level of risk or diminishes risk relative to a specific rate of return. It involves selecting the best asset combination to achieve the best desired investment objectives. The principal of portfolio optimization is the based on the principal of diversification which offers that are investor can reduce overall portfolio risk without sacrificing potential returns by combination a variety of assets with different levels of risk and return.
dc.identifier.urihttps://repository.cuilahore.edu.pk/handle/123456789/2811
dc.language.isoen
dc.publisherLibrary Information Services COMSATS University Lahore Campus
dc.relation.ispartofseriesLHR TP 8719
dc.subjectDepartment of Mathematics
dc.subjectMathematics
dc.subjectSP22
dc.subjectGeneralized Approach
dc.subjectThe process of forming an investment portfolio though portfolio improvement targets to improve expected return for a given level of risk or diminishes risk relative to a specific rate of return. It involves selecting the best asset combination to achieve the best desired investment objectives. The principal of portfolio optimization is the based on the principal of diversification which offers that are investor can reduce overall portfolio risk without sacrificing potential returns by combination a variety of assets with different levels of risk and return.
dc.titleGeneralized Approach of Some Portfolio Optimization
dc.typeThesis

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