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Explores Portfolio Theory with a focus on the Risk Parity Strategy, discussing asset allocation proportional to the inverse of volatility and comparing different diversified portfolios.
Explores the Efficient Market Hypothesis implications, market efficiency reasons, anomalies, mutual fund performance, and factor models in performance measurement.
Explores the roles of testing in VLSI systems, different testing methodologies, cost analysis, factors affecting yield, and the importance of testing in modern technologies.
Explores metrics in green chemistry to quantify process 'cleanness' and environmental impact, emphasizing waste prevention, atom efficiency, and carbon efficiency.