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50,03 EUR*
Details The Standard for Portfolio Management

The Standard for Portfolio Management Portfolio management is an integral part of an organization's overall strategic plan. While project and program management focus on Odoing the work right, O the purpose of portfolio management is Odoing the right ...

109,00 EUR*
Details Corporate Bond Portfolio Management (Frank J. Fabozzi Series)

Praise for Managing a Corporate Bond Portfolio "Crabbe and Fabozzi's Managing a Corporate Bond Portfolio is a refreshingly good book on the neglected topic in fixed income portfolio management. If you want to understand the latest thinking in ...

78,36 EUR*
Details Equity Valuation and Portfolio Management (Frank J. Fabozzi)

A detailed look at equity valuation and portfolio management Equity valuation is a method of valuing stock prices using fundamental analysis to determine the worth of the business and discover investment opportunities. In Equity Valuation and ...

75,95 EUR*
Details Präferenzmessung von Anlegern: Verfahren der Entscheidungsunterstützung im Portfolio Management und in der Anlageberatung (Europäische ... Management / Série 5: Sciences économiques)

Begriffe wie 'kundenindividuelle Anlageberatung', Bestimmung des 'Anlegertyps' und 'Kundenpräferenzen' gehören zu den aktuellen Schlagworten von Vermögensverwaltern und Anlageberatern. Zur Anreicherung der Vermögensverwaltungspraxis erweitert der ...

57,07 EUR*
Details The Leverage Space Trading Model: Reconciling Portfolio Management Strategies and Economic Theory (Wiley Trading Series)

An innovative approach to trading by an expert in the field In The Leverage Space Trading Model, quantitative portfolio analysis expert Ralph Vince takes the Leverage Space Model he presented in The Handbook of Portfolio Mathematics and brings it into ...

83,25 EUR*
Details The New Money Management: A Framework for Asset Allocation (Wiley Finance)

THE NEW MONEY MANAGEMENT In his bestselling Portfolio Management Formulas and The Mathematics of Money Management, Ralph Vince brought the complex mathematics of probability and modern portfolio management theory down to earth for traders and ...

61,90 EUR*
Details Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies (Wiley Finance Series)

This textbook will be designed for fixed--income securities courses taught on MSc Finance and MBA courses. There is currently no suitable text that offers a a Hull--typea book for the fixed income student market. This book aims to fill this need. The ...

49,00 EUR*
Details Investing in Renewable Energy and Cleantech: a Finance Perspective: an Academic View on the Returns of Renewable energy and Cleantech in Portfolio Management

Investing in Renewable Energy and Cleantech This book is based on a study by J. Beemer MSc. providing an introduction and future outlook on renewable energy and cleantech. Using portfolio theory to study the return characteristics of both asset ...

137,99 EUR*
Details Quantitative Management of Bond Portfolios (Advances in Financial Engineering)

The practice of institutional bond portfolio management has changed markedly since the late 1980s in response to new financial instruments, investment methodologies, and improved analytics. Investors are looking for a more disciplined, quantitative ...

55,90 EUR*
Details The Economics of Nature: Managing Biological Assets

The Economics of Nature Management takes a unique "portfolio management" perspective on the worldwide deterioration of the natural environment.

24,60 EUR*
Details What's Behind the Numbers?: A Guide to Exposing Financial Chicanery and Avoiding Huge Losses in Your Portfolio (Business Books)

What's Behind the Numbers?: A Guide to Exposing Financial Chicanery and Avoiding Huge Losses in Your Portfolio A title that mixes a potent combination of earnings quality analysis, long-side investing, and short-side portfolio risk management to help ...

72,93 EUR*
Details Retirement Portfolios: Theory, Construction and Management (Wiley Finance Editions)

Retirement portfolio guidance for finance professionals Retirement is one of the most important parts of the financial planning process. Yet only two percent of financial advisors describe themselves as competent in retirement planning. Constructing a ...

60,95 EUR*
Details Econometrics of Financial Markets

The past twenty years have seen an extraordinary growth in the use of quantitative methods in financial markets. Finance professionals now routinely use sophisticated statistical techniques in portfolio management, proprietary trading, risk management ...

61,83 EUR*
Details Tactical Portfolios: Strategies and Tactics for Investing in Hedge Funds and Liquid Alternatives (Wiley Finance Editions)

Take an active management approach with liquid alternatives to increase R.O.I. Take advantage of inefficiencies in the market by investing in alternative assets. Hedge fund and private equity investment diversifies your portfolio and helps shield you ...