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Beschreibung
The objective of this book is to provide guidelines to the students of Management/Finance and Industry Professionals to understand the entire concepts of Portfolio management. It gives readers a solid foundation in personal finance to manage their money to derive the maximum benefit from what they earn. This book covers the various theories and models like; Markowitz Theory, The Single Index Model, Arbitrage Pricing Theory, Capital Asset Pricing Model.
Details
| Verlag | LAP LAMBERT Academic Publishing |
| Ersterscheinung | 27. März 2013 |
| Maße | 22 cm x 15 cm x 0.6 cm |
| Gewicht | 131 Gramm |
| Format | Softcover |
| ISBN-13 | 9783659356025 |
| Seiten | 76 |