Investment and Portfolio Management - Security Analysis, Portfolio Construction and Evaluation
von Sathishkumar R., Umamaheswari D., Prabhu S.
2023 Kartoniert, 124 Seiten, 220mm x 150mm x 8mm, Sprache(n): eng The world of investment is fascinating and, at the same time, enigmatic. Only knowledgeable investors can minimize investment-related risks through systematic planning and efficient and effective management of their assets. In thi…
Volume Based Portfolio Strategies - Analysis of the Relationship between Trading Activity and Expe…
von Alexander Brändle
2010 Kartoniert, 348 Seiten, 210mm x 148mm x 22mm, Sprache(n): eng Alexander Brändle investigates the relationship between different measures of trading volume and returns in the Swiss stock market. He discovers that stocks with unusual trading volume in a given month experience systematically h…
Michigan: A Photographic Portfolio
von David Muench Verlag: Brown Trout
Taschenbuch 30 X 22.6 X 0.8 cm EAN: 9781563137617Das Buch könnte Gebrauchsspuren und Knicke aufweisen, ansonsten allgemein in gutem Zustand. Gegebenenfalls kann Namenseintrag tragen und das Titelbild oder die Auflage könnte abweichen. Kostenfreie Rücksendung. Die Rechnung mit ausgewiesener Mehr…
Fixed-Income Portfolio Analytics - A Practical Guide to Implementing, Monitoring and Understanding…
von David Jamieson Bolder
2016 Kartoniert, 572 Seiten, 235mm x 155mm x 31mm, Sprache(n): eng Provides a common and consistent framework for performance and risk analytics Full of practical examples - over 160 figures and almost 100 tables - to support complex ideas Shows not only how to measure and attribute performanc…
Risk and Portfolio Analysis - Principles and Methods
von Henrik Hult, Carl Johan Rehn, Ola Hammarlid, Filip Lindskog
2012 Gebunden, 352 Seiten, 241mm x 160mm x 23mm, Sprache(n): eng Combines useful practical insights with rigorous yet elementary mathematicsThe presentation of the theory goes hand in hand with numerous real-world examplesThe books aims to demystify many commonly encountered approaches to risk m…
Risk and Portfolio Analysis - Principles and Methods
von Henrik Hult, Carl Johan Rehn, Ola Hammarlid, Filip Lindskog
2014 Kartoniert, 352 Seiten, 235mm x 155mm x 20mm, Sprache(n): eng Combines useful practical insights with rigorous yet elementary mathematics The presentation of the theory goes hand in hand with numerous real-world examples The books aims to demystify many commonly encountered approaches to…
Security Analysis & Portfolio Management
von C. F. Lee Verlag: Longman,
1990. 24,8 x 19,7 x 4,4 cm, Gebundene Ausgabe 790 Seiten ex Library Book / aus einer wissenschafltichen Bibliothek / Ohne Schutzumschlag
Advanced REIT Portfolio Optimization - Innovative Tools for Risk Management
von W. Brent Lindquist, Abootaleb Shirvani, Yuan Hu, Svetlozar T. Rachev
2023 Kartoniert, 272 Seiten, 235mm x 155mm x 15mm, Sprache(n): eng This book provides an investor-friendly presentation of the premises and applications of the quantitative finance models governing investment in one asset class of publicly traded stocks, specifically real estate investment trust…
Mikael Jansson (Stern Portfolio)
von Mikael Jansson Verlag: Gruner + Jahr AG & Co KG
Gebundene Ausgabe 37 X 28 X 1 cm 96 S. EAN: 9783570198988Das Buch könnte Gebrauchsspuren und Knicke aufweisen, ansonsten allgemein in gutem Zustand. Gegebenenfalls kann Namenseintrag tragen und das Titelbild oder die Auflage könnte abweichen. Kostenfreie Rücksendung. Die Rechnung mit ausgewiesen…
Portfolio I. Florida Landscapes.
von Clyde Butcher Verlag: Fort Myers: Shade Tree Press,
1994 (Second Printing).. Unpag.; with 65 b/w full page photographs; Oblong-4°; orig. cloth with silver-lettered title on spine and front cover; orig. dust wrapper - English edition. With preface & acknowledgements by the artist; foreword by Glenn A. Long and text "beyond the frame" by Christine…
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