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Portfolio Management - 11 - Page 6 - Blowout Sale! Save up to 57%


Blowout Sale! Up to 57% off on Portfolio Management at HYIP Offer, Page 6. Top brands include World Scientific Publishing Company, Wiley, Bloomberg Press, Stanford Economics and Finance, Project Management Institute, Sanwal, Kerry E Back, & imusti. Hurry! Limited time offers. Offers valid only while supplies last.



The Strategic Analysis of Financial Markets(in 2 Volumes) (World Scientific Series in Finance)
The Strategic Analysis of Financial Markets(in 2 Volumes) (World Scientific Series in Finance)
By World Scientific Publishing Company
In Stock
$295.00
$181.83
You Save: 38%

ean: 9789813142770, isbn: 9813142774,

4.7 out of 5 stars with 264 reviews
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 still have an inherent order and inherent logic. But that order results primarily from the ''predictable irrationality'' of investors, as well as from people's uncoordinated attempts to profit. The market patterns that result do not rely on


Multi-Asset Investing: A Practitioner's Framework
Multi-Asset Investing: A Practitioner's Framework
By Wiley
In Stock
$105.00
$64.62
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ean: 9781119241522, isbn: 1119241529,

4.3 out of 5 stars with 8 reviews
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 Practitioner’s Framework questions this basic structure of the investment process and investment industry.Who says we have to separate alpha and beta?Are the traditional definitions for risk and risk premium relevant in a multi-asset class world?Do


Equity Markets and Portfolio Analysis (Bloomberg Financial)
Equity Markets and Portfolio Analysis (Bloomberg Financial)
By Bloomberg Press
In Stock
$95.00
$59.07
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ean: 9781118202685, isbn: 1118202686,

4.6 out of 5 stars with 53 reviews
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 well as new strategies for gaining a true understanding and knowledge of investment and financial markets. Now, Equity Markets and Portfolio Analysis has been created to further inform investment professionals and finance students on the basic


Portfolio Construction and Analytics (Frank J. Fabozzi Series)
Portfolio Construction and Analytics (Frank J. Fabozzi Series)
By Wiley
In Stock
$125.00
$67.02
You Save: 46%

ean: 9781118445594, isbn: 1118445597,

4.5 out of 5 stars with 23 reviews
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 portfolio analytics and modeling methods, this book is unique in its multi-disciplinary approach. Investment analytics involves the input of a variety of areas, and this guide provides the perspective of data management, modeling, software


Reframing Finance: New Models of Long-Term Investment Management
Reframing Finance: New Models of Long-Term Investment Management
By Stanford Economics and Finance
In Stock
$65.00
$61.11
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mpn: 9781503601789, ean: 9781503601789, isbn: 1503601781,

4.8 out of 5 stars with 27 reviews
Since the 2008 financial crisis, beneficiary organizations―like pension funds, sovereign wealth funds, endowments, and foundations―have been seeking ways to mitigate the risk of their investments and make better financial decisions. For them, Reframing Finance offers a path forward. This book argues that institutional investors would better serve their long-term goals by putting money into large-scale, future-facing projects such as infrastructure, green energy, innovation in agriculture,


The Standard for Portfolio Management
The Standard for Portfolio Management
By Project Management Institute
In Stock
$74.95
$47.85
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ean: 9781628251975, isbn: 1628251972,

4.9 out of 5 stars with 39 reviews
The Standard for Portfolio Management – Fourth Edition has been updated to best reflect the current state of portfolio management. It describe the principles that drive accepted good portfolio management practices in today’s organizations. It also expands the description of portfolio management to reflect its relation to organizational project management and the organization..


Optimizing Corporate Portfolio Management: Aligning Investment Proposals with Organizational Strategy
Optimizing Corporate Portfolio Management: Aligning Investment Proposals with Organizational Strategy
By Sanwal
In Stock
$105.00
$85.57
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ean: 9780470126882, isbn: 0470126884,

4.5 out of 5 stars with 19 reviews
If where an organization allocates its resources determines its strategy, why is it that so few companies actively manage the resource allocation process? ''Optimizing Corporate Portfolio Management: Aligning Investment Proposals with Organizational Strategy'' goes beyond platitudes about why you should use corporate portfolio management (CPM) by offering a practical methodology to bring this powerful discipline to your organization. ''Optimizing Corporate Portfolio Management'' takes an


Modern Portfolio Management: Active Long/Short 130/30 Equity Strategies
Modern Portfolio Management: Active Long/Short 130/30 Equity Strategies
By Wiley
In Stock
$95.00
$72.99
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ean: 9780470398531, isbn: 0470398531,

4.2 out of 5 stars with 20 reviews
Active 130/30 Extensions is the newest wave of disciplined investment strategies that involves asymmetric decision-making on long/short portfolio decisions, concentrated investment risk-taking in contrast to diversification, systematic portfolio risk management, and flexibility in portfolio design. This strategy is the building block for a number of 130/30 and 120/20 investment strategies offered to institutional and sophisticated high net worth individual investors who want to manage their


Asset Pricing and Portfolio Choice Theory (Financial Management Association Survey and Synthesis Series)
Asset Pricing and Portfolio Choice Theory (Financial Management Association Survey and Synthesis Series)
By Kerry E Back
In Stock
$95.00
$50.00
You Save: 47%

ean: 9780190241148, isbn: 0190241144,

4.1 out of 5 stars with 16 reviews
In the 2nd edition of Asset Pricing and Portfolio Choice Theory, Kerry E. Back offers a concise yet comprehensive introduction to and overview of asset pricing. Intended as a textbook for asset pricing theory courses at the Ph.D. or Masters in Quantitative Finance level with extensive exercises and a solutions manual available for professors, the book is also an essential reference for financial researchers and professionals, as it includes detailed proofs and calculations as section


Alternative Investments: CAIA Level II (Caia Knowledge)
Alternative Investments: CAIA Level II (Caia Knowledge)
By imusti
In Stock
$125.00
$53.62
You Save: 57%

mpn: 9781119016397, ean: 9781119016397, isbn: 1119016398,

4.2 out of 5 stars with 59 reviews
In-depth Level II exam preparation direct from the CAIA AssociationCAIA Level II is the official study guide for the Chartered Alternative Investment Analyst professional examination, and an authoritative guide to working in the alternative investment sphere. Written by the makers of the exam, this book provides in-depth guidance through the entire exam agenda; the Level II strategies are the same as Level I, but this time you'll review them through the lens of risk management and portfolio


Alternative Investments: CAIA Level I (Wiley Finance)
Alternative Investments: CAIA Level I (Wiley Finance)
By Wiley
In Stock
$125.00
$62.43
You Save: 50%

ean: 9781119003366, isbn: 1119003369,

4.7 out of 5 stars with 35 reviews
The official CAIA Level 1 curriculum bookAlternative Investments: CAIA Level I, 3rd Edition is the curriculum book for the Chartered Alternative Investment Analyst (CAIA) Level I professional examination. Covering the fundamentals of the alternative investment space, this book helps you build a foundation in  alternative investment markets. You'll look closely at the different types of hedge fund strategies and the range of statistics used to define investment performance as you gain a deep



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