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Hledání v autorech: "Richard C. Grinold" | Nalezených publikací: 1
Active Portfolio Management : A quantative approach for producing superior returns and sel
Active Portfolio Management : A quantative approach for producing superior returns and selecting superior money managers
Autor: Richard C. Grinold, Ronald N. Kahn | Vydavatel: McGraw-Hill Professional
Druhé vydání publikace "Active Portfolio Management" bylo napsáno a aktualizováno dvěma nejlepšími odborníky v oblasti portfolio managementu. Více než 100 stran je věnováno profesionálním investorům v oblasti řízení, analýzy a oceňování výkonnosti portfolií.
Přidáno: 09.05.2007 ISBN: 0070248826 Stran: 596 Cena: £ 28,19 Jazyk: anglicky Doporučujeme
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Security Analysis: The Cla
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"Graham's ideas inspired the investment community for nearly a century." - "Smart Money". "Graham's method of investing is as relevant today as it was when he first espoused it during the Roaring Twenties." - "
Money Laundering: A Guide
Money Laundering: A Guide for Criminal Investigators
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Jazyk: anglicky
Many of the techniques that drug traffickers and organized crime figures use to launder money are also employed by terrorist groups - as those involved in investigating the attacks of September 11, 2001 soon di
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Introduction to Econometrics
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Introduction to Econometrics provides students with a simple mathematics notation and step-by step explanations of mathematical proofs to facilitate a thorough understanding of the subject. Extensive exercises
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Covered Calls and LEAPS: A Wealth Option (Wiley Trading)
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Cena: £ 68,00
Jazyk: anglicky
Joseph Hooper a Aaron Zalewski popisují ve své knize možnosti profitovat na akciích prostřednictvím tzv. cover calls a calendar LEAPS spreads. Doporučujeme všem, kteří chtějí snížit riziko z drže
Options Classic Approaches
Options Classic Approaches: Modelling and Pricing Risk
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Cena: £ 76,00
Jazyk: anglicky
* Selected 'classic' options papers from the 1960's to the 1990's, each of which as brought a truly innovative approach to the business of financial engineering * A unique compilation of papers brings together
Risk Management and Shareh
Risk Management and Shareholders' Value in Banking: From Risk Measurement Models to Capital Allocation Policies (The Wiley Finance Series)
Stran: 808
Cena: £ 33,99
Jazyk: anglicky
This book presents an integrated framework for risk measurement, capital management and value creation in banks. Moving from the measurement of the risks facing a bank, it defines criteria and rules to support