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Harun-Or-Rashid Howlader

Publications (1)

Portfolio Management to Reduce the Risk of Stockholders in the Bangladesh Stock Market

Harun-Or-Rashid Howlader · Journal of Economics, Management and Trade · 2013

This paper deals with reducing the risk of stockholders investment by implementing portfolio management in Bangladesh’s stock market. The Markowitz portfolio model derives the expected rate of return for a portfolio of stocks and a measurement of the expected risk, which is the s...

Open access Research Article 10.9734/BJEMT/2014/5958