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ISSN Print: 2394-7500, ISSN Online: 2394-5869, CODEN: IJARPF

TCR (Google Scholar): 4.11, TCR (Crossref): 13, g-index: 90

Peer Reviewed Journal

Vol. 3, Issue 12, Part D (2017)

Investment portfolio management: Strategies, risks, and performance optimization

Investment portfolio management: Strategies, risks, and performance optimization

Author(s)
Pratima Pawar
Abstract
This research paper explores the concept of Investment Portfolio Management, focusing on strategies for building and managing an efficient investment portfolio. It evaluates risk-return trade-offs, diversification techniques, portfolio optimization, and the role of behavioral finance. Using both primary and secondary data, the study aims to analyze how investors can make informed decisions to maximize returns while managing associated risks.
Pages: 258-260  |  146 Views  40 Downloads


International Journal of Applied Research
How to cite this article:
Pratima Pawar. Investment portfolio management: Strategies, risks, and performance optimization. Int J Appl Res 2017;3(12):258-260. DOI: 10.22271/allresearch.2017.v3.i12d.12586
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