Essays in Positive Investment Management
Free Shipping Included! Essays in Positive Investment Management by Economica at HYIP Offer. MPN: 9782717868463. Hurry! Limited time offer. Offer valid only while supplies last. I strongly recommend Pascal Blanqué’s book.”--John Plender, Financial TimesAfter the warm reception of Essays in Positive Investment
I strongly recommend Pascal Blanqué’s book.”
--John Plender, Financial Times
After the warm reception of Essays in Positive Investment Management, the author has published a second, expanded edition. It contains, in particular, discussion of the notion of liquidity as the missing element in modern portfolio theory, together with changes in macro-financial regime as key factors for investment strategies. Savings glut, QE glut, and secular stagnation are lasting features that bring fresh challenges.
Few people have better insight into investment management than Pascal Blanqué. In this important and timely book, Blanqué makes a powerful claim for positive investment to avoid fanciful illusions. Blanqué argues that the investment world contains many fairytale elements, and shows that confrontation with reality leaves its mark on the theoretical sacred cows of established beliefs and truths.
These essays include an objective assessment of the discipline’s sacred cows; the effective dynamic of the financial markets concerning value, liquidity, and momentum; anticipation of the return on financial assets; and the reality of long-term investment. Blanqué demonstrates the importance of better understanding the psychological referential of the subject and of those individuals who interact within this universe of anticipation and imagination. Blanqué describes the role of time, duration, memory, and forgetfulness.
These essays explore ways to renew traditional approaches (allocation, indices, inefficiencies that can be exploited, and other methods). There has never been such a need for sound management to bridge the gap between abundant savings and unsatisfied investment requirements. We need new ways to channel investment management for the good. We need more investment science, not less.
|Item Weight:||1.92 pounds|
|Item Size:||1.7 x 9.6 x 9.6 inches|
|Package Weight:||1.91 pounds|
|Package Size:||6.4 x 1.7 x 1.7 inches|
Have questions about this item, or would like to inquire about a custom or bulk order?
If you have any questions about this product by Economica, contact us by completing and submitting the form below. If you are looking for a specif part number, please include it with your message.
Related Best Sellers
By World Scientific Publishing Company
mpn: 9789813144361, ean: 9789813144361, isbn: 981314436X,
Great Investment Ideas is a collection of articles published in the Journal of Portfolio Management from 1993 to 2015. The book contains useful ideas for investment management and trading and discusses the methods, results and evaluation of great inv...
By Yoram Lustig
ean: 9780857194015, isbn: 0857194011,
Investors who build diversified, multi-asset portfolios, have an ever increasing range of investment assets at their disposal. In order to invest effectively - and build a solid, performing portfolio - it is essential for investors to understand each...
By Brand: Academic Press
mpn: 43192-389452, ean: 9780123747556, isbn: 0123747554,
Trading and Money Management in a Student-Managed Portfolio is a hands-on textbook for student-managed investment funds (SMIFs). The book presents the applied material that textbooks on portfolios and investments always overlook. Its focus on "how-to...
By Catherine Shenoy
ean: 9780470041727, isbn: 0470041722,
When investment professional Kent McCarthy returned to teach at his alma mater, the University of Kansas, he planted the seeds for the Applied Portfolio Management (APM) program—a course that allows students to manage a real money portfolio, which ...
By Palgrave Macmillan
ean: 9781137488794, isbn: 1137488794,
As technology advancement has increased, so to have computational applications for forecasting, modelling and trading financial markets and information, and practitioners are finding ever more complex solutions to financial challenges. Neural network...
By Charles Smithson
ean: 9780471324157, isbn: 0471324159,
A cutting-edge text on credit portfolio management Credit risk. A number of market factors are causing revolutionary changes in the way it is measured and managed at financial institutions. Charles Smithson, author of the bestselling Managing Financi...
By World Scientific Publishing Company
ean: 9789813142770, isbn: 9813142774,
Volume 1 of "The Strategic Analysis of Financial Markets," — Framework, is premised on the belief that markets can be understood only by dropping the assumptions of rationality and efficient markets in their extreme forms, and showing that markets ...
ean: 9781119241522, isbn: 1119241529,
Despite the accepted fact that a substantial part of the risk and return of any portfolio comes from asset allocation, we find today that the majority of investment professionals worldwide are focused on security selection. Multi-Asset Investing: A P...
By Bloomberg Press
ean: 9781118202685, isbn: 1118202686,
Understand today's investment challenges and the role of the Bloomberg system In recent years, changes have swept through the investment industry like wildfire. Academia has followed along and provided new lenses for viewing this transformation, as w...
ean: 9781118445594, isbn: 1118445597,
A detailed, multi-disciplinary approach to investment analyticsPortfolio Construction and Analytics provides an up-to-date understanding of the analytic investment process for students and professionals alike. With complete and detailed coverage of ...