Portfolio Theory and Investment Management

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 - «Portfolio Theory and Investment Management»

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Since the first edition of this book was published, significant developments have modified the general view of the efficient market hypothesis. This fully revised second edition provides a major contribution to the study of these developments. The authors provide a concise summary of modern portfolio theory covering such issues as: * The mean-variance approach to portfolio management. * The capital asset pricing model. * The efficient market hypothesis and option pricing theories. * Risk measurement services. Combining theory and practice, this is an ideal introductory text for undergraduate and postgraduate students, as well as a useful reference for investment managers. Это и многое другое вы найдете в книге Portfolio Theory and Investment Management

Полное название книги Portfolio Theory and Investment Management
Автор
Ключевые слова маркетинг, реклама, общие вопросы
Категории Деловая литература, Маркетинг. Реклама
ISBN 631191828
Издательство
Год 1994
Название транслитом portfolio-theory-and-investment-management
Название с ошибочной раскладкой portfolio theory and investment management