Portfolio and Risk Management for Renewable Energies: Application of Modern Portfolio Theory to diversified renewable energy and stock portfolios
This book applies modern portfolio theory to renewable energy and stock portfolios, offering guidance on risk management and diversification for investors in the energy sector.
About This Book
This book examines the application of modern portfolio theory to portfolios that include renewable energy assets and stocks.
It provides insights into risk management strategies for investors seeking exposure to the renewable energy sector.
The content focuses on diversification principles and their practical use in energy-related investments.
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