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MBA Intro Finance: 6. Optimal Portfolio Control (continued); Asset Pricing and Risk Management

Lecture 6 of Global Financial Management. 1st year MBA Finance. Recorded on November 20, 1995. Syllabus at: http://www.duke.edu/~charvey/Classes/ba350/SYL350.HTM The screen shots are of: http://www.duke.edu/~charvey/Classes/ba350/control/opc.htm and http://www.duke.edu/~charvey/Classes/ba350/riskman/riskman.htm
Length: 01:57:04

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