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Portfolio Management in Finance by kajal is a document available to read on EtoBox.
What is Portfolio Management in Finance about?
A portfolio is a collection of different financial assets like stocks, bonds, and cash that are grouped together and held by investors or managed by financial professionals. Portfolios allow investors to lower risk by diversifying their holdings across multiple asset classes and sectors. The overall goal of a portfolio is to optimize the relationship between risk and return.
- Author
- kajal
- Language
- EN