Portfolio Management

Strategic Portfolio Management Fundamentals  eBooks & eLearning

Posted by Sigha at May 31, 2023
Strategic Portfolio Management Fundamentals

Strategic Portfolio Management Fundamentals
Last updated 4/2023
MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz
Language: English (US) | Size: 1.38 GB | Duration: 2h 0m

Taking Strategy To Action via Development Portfolios

Modern Portfolio Management: Moving Beyond Modern Portfolio Theory  eBooks & eLearning

Posted by yoyoloit at Sept. 14, 2021
Modern Portfolio Management: Moving Beyond Modern Portfolio Theory

Modern Portfolio Management
by Petzel, Todd E.;

English | 2021 | ISBN: 1119818508 | 659 pages | True (PDF EPUB) | 12.64 MB

Effective Portfolio Management Systems  eBooks & eLearning

Posted by arundhati at Oct. 8, 2020
Effective Portfolio Management Systems

Christopher F. Voehl, "Effective Portfolio Management Systems "
English | ISBN: 1466572531 | 2015 | 190 pages | PDF | 9 MB

Advanced Portfolio Management: A Quant's Guide for Fundamental Investors  eBooks & eLearning

Posted by yoyoloit at Aug. 19, 2021
Advanced Portfolio Management: A Quant's Guide for Fundamental Investors

Advanced Portfolio Management
by Paleologo, Giuseppe A.;

English | 2021 | ISBN: 1119789796 | 211 pages | True (PDF EPUB) | 8.1 MB
Behavioral Portfolio Management: How successful investors master their emotions and build superior portfolios

Behavioral Portfolio Management: How successful investors master their emotions and build superior portfolios by C. Thomas Howard
English | March 17, 2014 | ISBN: 0857193570 | True EPUB | 324 pages | 2 MB

Quantitative Portfolio Management: The Art and Science of Statistical Arbitrage  eBooks & eLearning

Posted by yoyoloit at Sept. 16, 2021
Quantitative Portfolio Management: The Art and Science of Statistical Arbitrage

Quantitative Portfolio Management
by Isichenko, Michael;

English | 2021 | ISBN: 1119821320 | 298 pages | True (PDF EPUB) | 16.15 MB

Risk-Return Relationship and Portfolio Management (Repost)  eBooks & eLearning

Posted by AvaxGenius at Aug. 24, 2021
Risk-Return Relationship and Portfolio Management (Repost)

Risk-Return Relationship and Portfolio Management by Raj S. Dhankar
English | PDF | 2019 | 323 Pages | ISBN : 8132239482 | 4.8 MB

This book covers all aspects of modern finance relating to portfolio theory and risk–return relationship, offering a comprehensive guide to the importance, measurement and application of the risk–return hypothesis in portfolio management. It is divided into five parts: Part I discusses the valuation of capital assets and presents various techniques and models used in this context.
Portfolio Management in Practice, Volume 3: Equity Portfolio Management (CFA Institute Investment Series)

Portfolio Management in Practice, Volume 3: Equity Portfolio Management (CFA Institute Investment Series) by CFA Institute
English | November 10, 2020 | ISBN: 1119789257 | 496 pages | MOBI | 5.36 Mb

Portfolio Management in Practice, Volume 3: Equity Portfolio Management Workbook  eBooks & eLearning

Posted by arundhati at Feb. 2, 2022
Portfolio Management in Practice, Volume 3: Equity Portfolio Management Workbook

CFA Institute, "Portfolio Management in Practice, Volume 3: Equity Portfolio Management Workbook "
English | ISBN: 111978929X | 2020 | 128 pages | PDF | 7 MB

Applied Fundamentals in Finance: Portfolio Management and Investments  eBooks & eLearning

Posted by AvaxGenius at June 25, 2023
Applied Fundamentals in Finance: Portfolio Management and Investments

Applied Fundamentals in Finance: Portfolio Management and Investments by Enzo Mondello
English | PDF EPUB (True) | 2023 | 593 Pages | ISBN : 3658410205 | 37 MB

This textbook provides a comprehensive introduction to portfolio management and investments. Focusing on four core areas – portfolio management, equities, bonds, and derivatives – it is primarily intended for undergraduate and graduate students alike. However, it will also benefit practitioners working in the fields of financial analysis and portfolio management and professionals who aspire to such professional activities in the financial industry. To ensure its high practical relevance, the book includes a host of case studies and examples from real-world practice, mainly from the German and Swiss financial markets. Additionally, the book shows how to implement the models in Microsoft Excel.