This aims to provide an accessible, modern approach to portfolio management techniques for both the professional investor and the specialist finance student. The author combines theory and best practice - the techniques of investment as well as the underlying economics - and includes numerous diagrams to assist those less formally trained in mathematics. Taking a practical approach, he gives step-by-step guidance on: the markets; the decision-making process; the techniques involved; performance evaluation; investment administration. The text is clearly written, and the discussion of markets is put into a global context to make for a truly international work which fund and investment managers, actuaries, accountants and MBA students will find useful.
- ISBN10 0851219128
- ISBN13 9780851219127
- Publish Date 4 January 1994
- Publish Status Out of Print
- Out of Print 10 July 2008
- Publish Country GB
- Publisher Sweet & Maxwell Ltd
- Imprint Sweet & Maxwell
- Format Paperback
- Pages 464
- Language English