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Portfolio Management - 11 - Page 5 - Extreame Savings! Save up to 43%


Extreame Savings! Up to 43% off on Portfolio Management at HYIP Offer, Page 5. Top brands include United States Senate, Routledge, CRC Press, IGI Global, Willford Press, Emerald Publishing Limited, Lightning Source UK Ltd., TotalRecall Publications, Palgrave Macmillan, World Scientific Publishing Co, Leithy Leithy, Thomas Meyer, Economica, World Scientific Publishing Company, Yoram Lustig, Brand: Academic Press, Catherine Shenoy, & Charles Smithson. Hurry! Limited time offers. Offers valid only while supplies last.



Assessing TARP on the Eve of Its Expiration
By United States Senate
In Stock
$53.00

ean: 9780160867347, isbn: 0160867347,

4.8 out of 5 stars with 111 reviews
NOTE: NO FURTHER DISCOUNT FOR THIS PRINT PRODUCT-- OVERSTOCK SALE -- Significantly reduced list price   The Congressional Oversight Panel's 30th and final oversight report describes the financial crisis, summarizes and updates the Panel's prior oversight reports, and evaluates federal financial stabilization initiatives.In order to evaluate the TARP‘s impact, one must first recall the extreme fear and uncertainty that infected the financial system in late 2008. The stock market had endured


Foundations of Real Estate Financial Modelling
Foundations of Real Estate Financial Modelling
By Routledge
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$79.95
$62.96
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ean: 9781138046184, isbn: 1138046183,

4.9 out of 5 stars with 31 reviews
Foundations of Real Estate Financial Modelling, Second Edition is specifically designed to provide the scalable basis of pro forma modelling for real estate projects. The book introduces students and professionals to the basics of real estate finance theory prior to providing a step-by-step guide for financial real estate model construction using Excel. The book introduces an innovative new financial metric, P(Gain), which quantifies the probability of a Return of Capital and answers the most


Introduction to Stock Portfolio Management (Chapman and Hall/CRC Financial Mathematics Series)
By CRC Press
In Stock
$79.95
$79.94

ean: 9781439811900, isbn: 1439811903,

4.3 out of 5 stars with 127 reviews
Emphasizing the need for knowledge of modern finance theory in portfolio management, this text explains why theory should precede mathematics when it comes to money management. It presents key concepts underlying portfolio management theory, followed by examples and applied exercises to enforce understanding of concepts and principles. The author introduces the basic notions of finance such as markets, uncertainty, and random asset prices and explains the economic grounds of stock portfolio


Project Portfolio Management Strategies for Effective Organizational Operations (Advances in It Personnel and Project Management)
Project Portfolio Management Strategies for Effective Organizational Operations (Advances in It Personnel and Project Management)
By IGI Global
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$200.00
$140.00
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ean: 9781522521518, isbn: 1522521518,

4.6 out of 5 stars with 159 reviews
Continuous improvements in project portfolio management have allowed for optimized strategic planning and business process improvement. This not only leads to more streamlined processes, methods, and technologies, but it increases the overall productivity of companies.Project Portfolio Management Strategies for Effective Organizational Operations is a key resource on the latest advances and research regarding strategic initiatives for portfolio and program management. Highlighting


Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research and Opportunities (Advances in Finance, Accounting, and Economics)
Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research and Opportunities (Advances in Finance, Accounting, and Economics)
By IGI Global
In Stock
$175.00

ean: 9781522532590, isbn: 1522532595,

4.6 out of 5 stars with 44 reviews
Economics is an integral aspect to every successful society, yet basic financial practices have gone unchanged for decades. Analyzing unconventional finance methods can provide new ways to ensure personal financial futures on an individual level, as well as boosting international economies. Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research and Opportunities is an essential reference source that discusses methods and techniques that make financial


Investment Management
Investment Management
By Willford Press
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$153.00
$109.83
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ean: 9781682853511, isbn: 1682853519,

4.4 out of 5 stars with 11 reviews
Investment management deals with the management of assets of a firm or business in the form of shares, bonds and real estate. This book on investment management discusses tangible and intangible assets and the systems that are employed for their monitoring and maintenance. This book is compiled in such a manner, that it will provide in-depth knowledge about the theory and practice of investment management. It aims to present this complex subject in the most comprehensible and easy to understand


The Efficiency of Mutual Fund Families: Insights from the Spanish Market
The Efficiency of Mutual Fund Families: Insights from the Spanish Market
By Emerald Publishing Limited
In Stock
$110.00

ean: 9781787438002, isbn: 1787438007,

4.9 out of 5 stars with 13 reviews
Sánchez-González develops an innovative model that considers different management stages of mutual fund companies, overcoming the traditional dispute between the different approaches used in banking and insurance research. Research on the mutual fund industry has been primarily focused on mutual funds rather than on their management companies. This new work fills this gap in the empirical knowledge of the efficiency obtained by mutual fund management companies. The research analyses the


The Art of Alternative Investing (German Edition)
The Art of Alternative Investing (German Edition)
By Lightning Source UK Ltd.
In Stock
$99.00

mpn: colour illustrations, ean: 9783200042087, isbn: 3200042087,

4.2 out of 5 stars with 43 reviews
Stabile Renditen trotz volatiler Zeiten. In „The Art of Alternative Investing'' widmen sich die Autoren dem Thema des Absolute Return Portfoliomanagements. Im Speziellen beschäftigt sich das Praxishandbuch mit der Erzielung langfristig unkorrelierter Renditen durch systematische und diskretionäre Handelsansätze. An der Schnittstelle zwischen Forschung und Praxis setzen sich die Inhalte des Buches mit dem relevanten Spektrum von Asset Pricing, Behavioral Finance, Statistik und


ExamWise CFA 2015 Level I Certification Volume 1 The Candidates Question And Answer Workbook (With Practice Exam Software) (Totalrecall: The It Question Book)
ExamWise CFA 2015 Level I Certification Volume 1 The Candidates Question And Answer Workbook (With Practice Exam Software) (Totalrecall: The It Question Book)
By TotalRecall Publications
In Stock
$64.95

mpn: black & white illustrations, ean: 9781590959060, isbn: 159095906X,

4.0 out of 5 stars with 215 reviews
ExamWise Volume 1 2015 CFA Level 1 Includes 450 Practice Questions with Software Download Providing Unlimited Mock Exams! TAKE THIS HANDY Q&A WORKBOOK WHEREVER YOU HAVE SPARE MINUTES TO TEST YOUR READINESS FOR 2015 CFA LEVEL I EXAM This is Volume 1 of the popular ExamWise two-volume set of Q&A workbooks for the 2015 CFA Level I exam. It complements the 550+ questions contained in Volume 2 by providing 450+ unique questions to give you lots of exam practice. It reinforces the basic


Asset Management: Portfolio Construction, Performance and Returns
Asset Management: Portfolio Construction, Performance and Returns
By Palgrave Macmillan
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$159.00
$105.00
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ean: 9783319307930, isbn: 3319307932,

4.1 out of 5 stars with 16 reviews
This book presents a series of contributions on key issues in the decision-making behind the management of financial assets. It provides insight into topics such as quantitative and traditional portfolio construction, performance clustering and incentives in the UK pension fund industry, pension fund governance, indexation, and tracking errors. Markets covered include major European markets, equities, and emerging markets of South-East and Central Asia. .


Problems in Portfolio Theory and the Fundamentals of Financial Decision Making (World Scientific Series in Finance)
Problems in Portfolio Theory and the Fundamentals of Financial Decision Making (World Scientific Series in Finance)
By World Scientific Publishing Co
In Stock
$98.00

ean: 9789814759144, isbn: 9814759147,

4.0 out of 5 stars with 33 reviews
This book consists of invaluable introductions, tutorials and problems which are helpful for teaching purposes and have a very broad appeal and usage. The problems cover many aspects of static and dynamic portfolio theory as well as other important subjects such as arbitrage and asset pricing, utility theory, stochastic dominance, risk aversion and static portfolio theory, risk measures, dynamic portfolio theory and asset allocation. This material could be used with important books that cover


Passing the PfMP® Exam: A Study Guide (PMI Certification)
Passing the PfMP® Exam: A Study Guide (PMI Certification)
By Leithy Leithy
In Stock
$64.99

ean: 9780997166958, isbn: 0997166959,

4.2 out of 5 stars with 83 reviews
“Passing the PfMP Exam: A Study Guide” was developed to help you pass the Portfolio Management Professional Certification PfMP® exam on your first attempt.  This book is created based on the “The Standard for Portfolio Management – Third Edition” which was PMI certified in 2013. Throughout this book, it will be referred to as the Standard Guide.  This book adopts all PMI publications related to the Portfolio Management that were created before the publication date of this edition.


Private Equity Unchained: Strategy Insights for the Institutional Investor
Private Equity Unchained: Strategy Insights for the Institutional Investor
By Thomas Meyer
In Stock
$58.00
$51.76
You Save: 11%

ean: 9781137286819, isbn: 1137286814,

4.2 out of 5 stars with 51 reviews
There are significant returns to be made from private equity, infrastructure, real estate and other illiquid investments, but a competitive strategy is essential for investment success and for meeting objectives. This book takes readers through all the considerations of planning and implementing an investment strategy in illiquid investments.Private Equity Unchained Strategy Insights for the Institutional Investor.


Essays in Positive Investment Management
Essays in Positive Investment Management
By Economica
In Stock
$89.00

mpn: 9782717868463, ean: 9782717868463, isbn: 2717868461,

4.8 out of 5 stars with 87 reviews
“I strongly recommend Pascal Blanqué’s book.”--John Plender, Financial TimesAfter 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


Great Investment Ideas (World Scientific Series in Finance)
Great Investment Ideas (World Scientific Series in Finance)
By World Scientific Publishing Company
In Stock
$85.00
$53.50
You Save: 37%

mpn: 9789813144361, ean: 9789813144361, isbn: 981314436X,

4.9 out of 5 stars with 16 reviews
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 investors. It also covers important topics such as the effect of errors in means, variances and co-variances in portfolio selection problems, stock market crashes and stock market anomalies, portfolio theory and practice, evaluation theory, etc. This


The Investment Assets Handbook: A definitive practical guide to asset classes
The Investment Assets Handbook: A definitive practical guide to asset classes
By Yoram Lustig
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$62.80
$37.99
You Save: 40%

ean: 9780857194015, isbn: 0857194011,

4.4 out of 5 stars with 47 reviews
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 of these single asset classes and how to use them in portfolios. The Investment Assets Handbook covers the full spectrum of different asset classes and investment types available today, providing investors with the definitive information they need


Trading and Money Management in a Student-Managed Portfolio
Trading and Money Management in a Student-Managed Portfolio
By Brand: Academic Press
In Stock
$89.95
$69.37
You Save: 23%

mpn: 43192-389452, ean: 9780123747556, isbn: 0123747554,

4.0 out of 5 stars with 31 reviews
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'' questions summarizes the disciplines and skills necessary for trading. Covering equities, hedge funds and derivatives, and fixed income, it captures the breadth and detail necessary for developing and executing trading strategies. Developed


Applied Portfolio Management: How University of Kansas Students Generate Alpha to Beat the Street
Applied Portfolio Management: How University of Kansas Students Generate Alpha to Beat the Street
By Catherine Shenoy
In Stock
$75.00
$55.12
You Save: 27%

ean: 9780470041727, isbn: 0470041722,

4.1 out of 5 stars with 12 reviews
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 has compiled a remarkable record of investment success. Now, with this book, you’ll discover how to use the concepts covered in this class—from understanding the fundamental drivers of business success to buying at the right price—to enhance


Artificial Intelligence in Financial Markets: Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics (New Developments in Quantitative Trading and Investment)
Artificial Intelligence in Financial Markets: Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics (New Developments in Quantitative Trading and Investment)
By Palgrave Macmillan
In Stock
$99.99
$57.23
You Save: 43%

ean: 9781137488794, isbn: 1137488794,

4.2 out of 5 stars with 43 reviews
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 networking is a highly effective, trainable algorithmic approach which emulates certain aspects of human brain functions, and is used extensively in financial forecasting allowing for quick investment decision making. This book presents the most


Credit Portfolio Management
Credit Portfolio Management
By Charles Smithson
In Stock
$94.95
$57.21
You Save: 40%

ean: 9780471324157, isbn: 0471324159,

4.9 out of 5 stars with 60 reviews
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 Financial Risk, introduces a portfolio management approach to credit in his latest book. Understanding how to manage the inherent risks of this market has become increasingly important over the years. Credit Portfolio Management provides readers with a



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