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Elementary,Middle School,High School,College,University,PHD
| Teaching Since: | May 2017 |
| Last Sign in: | 340 Weeks Ago, 5 Days Ago |
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MBA (IT), PHD
Kaplan University
Apr-2009 - Mar-2014
Professor
University of Santo Tomas
Aug-2006 - Present
For this discussion, we will consider the relationship between risk and reward and how it applies to a broader area of risk management. In this module we discussed various quantitative asset management tools employed by investors for determining an expected rate of return (reward).Â
First Post   Please address the following questions:
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