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What is Corporate Finance: Risk & Return Analysis about?
This document contains class notes on corporate finance from Term III, Section A at the Indian Institute of Management Calcutta. The notes cover topics around risk and return, including the risk-return tradeoff for different types of investments and historical average returns and risks of various securities from 1926-2005. It also discusses efficient market theory and the three forms of market efficiency as defined by Eugene Fama. The notes provide examples of how to calculate portfolio return and risk by c
- Author
- Ambuj Agrawal
- Language
- EN