Frank J. Fabozzi
Institutional Investment Management
Equity and Bond Portfolio Strategies and Applications
Buch
Institutional Investment ManagementFilled with some of today's most important investment management theories, strategies, and applications, this comprehensive book puts the management of an institutional investor's portfolio in perspective.Opening with an informative overview of the investment management process, respected investment expert Frank Fabozzi quickly moves on to cover an array of issues that both practitioners and students of finance can benefit from, including:* Portfolio theory and asset pricing* Common stock analysis and portfolio management* Bond analysis and portfolio management* Investment companies, exchange-traded funds, a…
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Beschreibung
Institutional Investment ManagementFilled with some of today's most important investment management theories, strategies, and applications, this comprehensive book puts the management of an institutional investor's portfolio in perspective.Opening with an informative overview of the investment management process, respected investment expert Frank Fabozzi quickly moves on to cover an array of issues that both practitioners and students of finance can benefit from, including:* Portfolio theory and asset pricing* Common stock analysis and portfolio management* Bond analysis and portfolio management* Investment companies, exchange-traded funds, and alternative investmentsWith this book as your guide, you'll gain valuable insights into the essential aspects of institutional investment management and the role equities and bonds play in this process. Along the way, unique illustrations of factor models highlight how to build an equity and bond portfolio, while detailed discussions of derivatives reveal how you can effectively control a portfolio's risk and reduce the cost of implementing investment strategies.Written in a straightforward and accessible style, Institutional Investment Management is an essential read for anyone who'd like to enhance their understanding of this evolving discipline.
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Produktdetails
- ISBN: 978-0-470-40094-4
- EAN: 9780470400944
- Produktnummer: 4463457
- Verlag: Wiley
- Sprache: Englisch
- Erscheinungsjahr: 2009
- Seitenangabe: 856 S.
- Masse: H23.2 cm x B16.3 cm x D4.4 cm 1'241 g
- Gewicht: 1241
Über den Autor
Frank J. Fabozzi, PhD, CFA, CPA, is Professor in the Practice of Finance and Becton Fellow at Yale University's School of Management, Editor of the Journal of Portfolio Management, and Associate Editor of the Journal of Structured Finance and the Journal of Fixed Income.
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