Finance 1: Portfolio Theory and Management di Michael Frömmel edito da Books on Demand
Alta reperibilità

Finance 1: Portfolio Theory and Management

Portfolio Theory And Management

EAN:

9783741263569

ISBN:

3741263567

Pagine:
352
Formato:
Paperback
Lingua:
Tedesco
Acquistabile con o la

Descrizione Finance 1: Portfolio Theory and Management

The book gives an introduction to portfolio theory and management and shall help the reader to better set up a long-term strategic asset allocation. After an introduction into financial markets, their instruments and players, the Markowitz portfolio theory is derived. Limitations and alternatives to Markowitz are discussed. Factor models, the capital asset pricing model and the arbitrage pricing theory, as well as the theory of efficient markets are considered, before we turn to the valuation of securities. The final section deals with the steps of asset allocation, performance measurement and international portfolios.

Spedizione gratuita
€ 49.43
o 3 rate da € 16.48 senza interessi con
Disponibile in 10-12 giorni
servizio Prenota Ritiri su libro Finance 1: Portfolio Theory and Management
Prenota e ritira
Scegli il punto di consegna e ritira quando vuoi

Recensioni degli utenti

e condividi la tua opinione con gli altri utenti