Investment management after the global financial crisis.
FABOZZI Frank J. ; FOCARDI Sergio M. ; JONAS Caroline L.
2010
139
134.77-FABOZ
PORTFOLIO MANAGEMENT ; PORTFOLIO ANALYSIS ; FINANCIAL STATISTICS ; CAPITAL ASSETS PRICING MODEL ; MODEL ; RISK MANAGEMENT ; INQUIRY
No. | Call n° | Bar code | Commentary | |
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1 | [available] | |||
2 | [available] |
ISBN 13 : 978-1-934667-32-3
Contents : Foreword
Preface
Acknowledgements
Chapter 1. Introduction
Chapter 2. Asset Allocation Revisited
Chapter 3. Risk Management Revisited
Chapter 4. Cutting Management Fees and Other Costs
Chapter 5. Moving toward a Redistribution of Roles?
Chapter 6. Ethical Dimension
Chapter 7. Challenges
Chapter 8. Employment and Compensation Trends
Chapter 9. Looking Ahead
References
Notes :
Réserve – Ask a librarian
Language : English
Series : RESEARCH FOUNDATION
Location : Nice Library
Material : Paper
Statement : Présent
Faculty's books : Oui
Owner : Bibliothèque