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Management in Practice, Volume 2: Asset Allocation. Part of the reputable CFA Institute Investment Series, the workbook is designed to further;
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Portfolio Management in Practice, Volume 1: Investment Management delivers a comprehensive overview of investment management for students;
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Discover the latest essential resource on equity portfolio management for students and investment professionals. Part of the CFA;
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three-volume Portfolio Management in Practice series, Asset Allocation offers a deep, comprehensive treatment of the asset allocation process;
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The Equity Portfolio Management Workbook provides learners with real-world problems based on key concepts explored in Portfolio Management;
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The companion workbook to the Investment Management volume in the CFA Institute's Portfolio Management in Practice series provides students;
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discuss risk return trade-off analysis and portfolio management: 1. An Intertemporal Analysis of Optimal International Asset Allocation; 2;
Vergelijkbare producten zoals Advances in Investment Analysis and Portfolio Management
Credit Portfolio Management is a topical text on approaches to the active management of credit risks. The book is a valuable, up to date;
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shifting from basic Markowitz mean-variance portfolio optimization to risk management and trading applications. This section also explores novel;
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Taking an empirical approach to explaining current, real-world practice in investment analysis and portfolio management, this work;
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This fifth volume in the series covers a variety of topics in the field of advances in investment and portfolio management. ;
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shifting from basic Markowitz mean-variance portfolio optimization to risk management and trading applications. This section also explores novel;
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complexity in projects as Tipping Points Critical success factors for project portfolio management based on a multiple case study; a comparison;
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active portfolio management Whether you're a portfolio managers, financial adviser, or student of investing, this follow-up to the authors;
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developments in the implementation of public asset management - including multiple contributions on portfolio allocation in varying interest-rate and;
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management in an international capital market environment. The topics covered include risk management and asset pricing models for portfolio;
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State-of-the-art techniques and tools needed to facilitate effective credit portfolio management and robust quantitative credit analysis;
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, Portefeuilletheorie, Portfolio-Management 1.4Gang der Untersuchung und Themenabgrenzung 2.Ansiedlung des Portfolio-Managements im Unternehmen 2.1Der;
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his philosophy and strategies of portfolio management. Pioneering Portfolio Managementprovides a road map for creating a successful;
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management, while at the same time portfolio risk assessment has become an essential ingredient in risk management. This trend will only accelerate;
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Quantitative equity portfolio management combines theories and advanced techniques from several disciplines, including financial economics;
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management and portfolio, program, and project management. As with all PMI standards and publications, this practice guide also aligns with our;
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The Standard for Portfolio Management - Fourth Edition has been updated to best reflect the current state of portfolio management. It;
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Frank Fabozzi leads an international team of fixed income experts in analyzing subjects varying from active portfolio management against an;
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Portfolio management is an integral part of the organization's overall strategic plan. While project and program management focus on doing;
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analysis and portfolio management. It can be used for courses in both portfolio theory and in investment analysis that have an emphasis on;
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In today's financial market, portfolio and risk management are facing an array of challenges. This is due to increasing levels of knowledge;
Vergelijkbare producten zoals Recent Applications of Financial Risk Modelling and Portfolio Management
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