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The Risk-Reward Framework at Morgan Stanley Research
Srinivasan, Suraj; Lane, DavidCaso HBS-111011-EContabilidad y controlThe case describes the Risk-Reward framework that Morgan Stanley analysts use as a systematic approach to communicate a broader range of fundamental insights about a company rather than the traditional single point estimates. The goal of the framework is to focus the analysts' work on critical uncertainties and model a limited number of scenarios relevant to key investment debates. By outlining a bear, base and a bull case, the analysts can prese...Desde 8,20 €
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The Risk-Reward Framework at Morgan Stanley Research, Teaching Note
Srinivasan, SurajNota del Instructor HBS-114073-EContabilidad y controlTeaching Note for 111011.Desde 0,00 €