Managing Investment Portfolios: a dynamic process.
MAGINN John L. ; TUTTLE Donald L. ; PINTO Jerald E. ; BERNSTEIN Peter L. (Prefacer)
2007
932
978-0470080146
134.77-MAGIN
PORTFOLIO MANAGEMENT ; INVESTMENT ; PORTFOLIO ANALYSIS ; SPECULATION ; PENSION FUNDS ; FINANCIAL INVESTMENT ; ASSETS ALLOCATION
No. | Call n° | Bar code | Commentary | |
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1 | [available] |
Comment :
Contents : Contents
Foreword: nice portfolios and the unknown future
Preface
Acknowledgments
Introduction
Chapter 1: The portfolio management process and the investment policy statement
Chapter 2: Managing individual investor portfolios
Chapter 3: Managing institutional investor portfolios
Chapter 4: Capital market expectations
Chapter 5: Asset allocation
Chapter 6: Fixed-income portfolio management
Chapter 7: Equity portfolio management
Chapter 8: Alternative investments portfolio management
Chapter 9: Risk management
Chapter 10: Execution of portfolio decisions
Chapter 11: Monitoring and rebalancing
Chapter 12: Evaluating portfolio performance
Chapter 13: Global investment performance standards
Appendix: Gips glossary
Glossary
References
About the CFA program
About the authors
Index
Language : English
Series : CFA INSTITUTE INVESTMENT SERIES
Print : 3ème
Place of publishing : TORONTO
Location : Nice Library
Material : Paper
Statement : Présent
Owner : Bibliothèque