| Tekijä: | Blume, M. E. Keim, D. B. |
| Otsikko: | Lower-grade bonds : Their risk and returns. |
| Lehti: | Financial Analysts' Journal
1987 : JUL/AUG, VOL. 43:4, p. 26-33 |
| Asiasana: | BOND MARKETS RETURN ON INVESTMENT PORTFOLIO MANAGEMENT DIVERSIFICATION |
| Kieli: | eng |
| Tiivistelmä: | A review of the realised returns on a portfolio of lower-grade bonds, and whether in the future they will continue to exceed those of high-grade bonds, the need to analyze the length of period to determine the accuracy of the measures of expected returns, how lower-grade bonds in a well diversified portfolio are no greater risk than high-grade bonds and how the accuracy of the risk measures primarily depends more on the number of independent observation than on the length of the time period under observation. |
SCIMA