This research work is entitled Risk Management and Portfolio Analysis in the Capital Market in Nigeria”. This work is embarked on with the purpose of examining critically risks with in the context of financing investment decisions. There is an attempt at appreciating the various criteria for measurement and managing investment risks and its possibility of reduction and to show the effects of changes in market on risks and return. Findings in the study have been able to indicate that investment risks can be identified, diversified portfolio does not reduce/eliminate all risks, macro-economic factors are responsible for the difficulties in diversifying market risks. From the findings, it is recommended that a conducive platform should be crea...
This paper critically examines the effect of capital asset pricing model (CAPM) for the Nigerian sto...
This paper critically examines the effect of capital asset pricing model (CAPM) for the Nigerian s...
This study reviews the risk management practices among banks in Nigeria with particular reference...
This study assessed the risk factors that determined performance of stock-bond portfolios diversifie...
The business world today is increasingly becoming aware of the fact that managing the risk of invest...
The purpose of this study is to ascertain from empirical data the risk-return relationship that exis...
The study examined risk management approach and banks’ portfolio investment performance in Nigeria. ...
The purpose of this study is to ascertain from empirical data the risk-return relationship that exis...
The study examined “risk management and financial performance of banks in Nigeria” with focus on com...
In this paper, we apply the Capital Asset Pricing Model (CAPM) to the Nigerian stock market using we...
Mean-variance analysis makes possible the choice of an efficient set of security combinations that o...
The research paper examined the risk management in the Nigerian banking industry. First bank of Nige...
This paper is on Capital Asset Pricing Model (CAPM) and implication for a developing capital market ...
The study examines the relationship between risk management and the performance of the Nigerian bank...
Risk management is of great importance in the recent years in Nigeria due to volatility and harsh ec...
This paper critically examines the effect of capital asset pricing model (CAPM) for the Nigerian sto...
This paper critically examines the effect of capital asset pricing model (CAPM) for the Nigerian s...
This study reviews the risk management practices among banks in Nigeria with particular reference...
This study assessed the risk factors that determined performance of stock-bond portfolios diversifie...
The business world today is increasingly becoming aware of the fact that managing the risk of invest...
The purpose of this study is to ascertain from empirical data the risk-return relationship that exis...
The study examined risk management approach and banks’ portfolio investment performance in Nigeria. ...
The purpose of this study is to ascertain from empirical data the risk-return relationship that exis...
The study examined “risk management and financial performance of banks in Nigeria” with focus on com...
In this paper, we apply the Capital Asset Pricing Model (CAPM) to the Nigerian stock market using we...
Mean-variance analysis makes possible the choice of an efficient set of security combinations that o...
The research paper examined the risk management in the Nigerian banking industry. First bank of Nige...
This paper is on Capital Asset Pricing Model (CAPM) and implication for a developing capital market ...
The study examines the relationship between risk management and the performance of the Nigerian bank...
Risk management is of great importance in the recent years in Nigeria due to volatility and harsh ec...
This paper critically examines the effect of capital asset pricing model (CAPM) for the Nigerian sto...
This paper critically examines the effect of capital asset pricing model (CAPM) for the Nigerian s...
This study reviews the risk management practices among banks in Nigeria with particular reference...