Active Portfolio Management: a Quantitative Approach for Producing Superior Returns and Selecting Superior Returns and Controlling Risk
- Binding: Hardcover
- Edition: 2
- Publisher: McGraw-Hill Education
- Publish date: 11/01/1999
Description:
Active Portfolio Management, 2nd edition -- written and revised by two of today's top investment theorists-outlines a highly rigorous approach for understanding and profiting from active investment. Featuring more than 100 pages of new material and research, it will instantly help professional investors transform market insights into profitable strategies, analyze and select superior money managers, evaluate investment performance, and more.
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Product notice
Returnable at the third party seller's discretion and may come without consumable supplements like access codes, CD's, or workbooks.
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