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Portfolio Management

AuthorRajesh Mongia
PublisherSumit Enterprises
Publisher2008
Publisherviii
Publisher344 p,
Publisherfigs, tables
ISBN8184201352

Contents: Preface. 1. Portfolio management. 2. Portfolio theory: analysis and diversification. 3. Applied theory of portfolio selection. 4. Shareholder value-orientated in banks. 5. Shareholder for asset liability management. 6. High priests of modern finance. 7. Measure the performance of finance. 8. Mathematical techniques of investing. 9. Investment and opportunities in portfolio management. 10. Market: complex adaptive system. 11. Analysis of real asset investments. 12. Analysis of fixed-income securities. 13. Stakeholder stake in European savings banks. 14. Spot money market investments. 15. Function and task of investment companies. 16. Shareholder value and stakeholder approaches. Bibliography. Index.

"Portfolio management goes beyond the typical investment management approach to offer a set of proven business practices that can help executives, program managers, and investors into alignment with the strategies, resources, and executive oversight of the overall enterprise. The purpose of this text is to help the student, teachers and investors to learn know to manage their money to derive the maximum benefit from what they earn. Mixing investment instruments and capital markets with the theoretical detail on evaluating investments and opportunities to satisfy risk-return objectives along with how investment practice and theory is influenced by globalization. The material is intended to be great source for those with both a theoretical and practical need for investment expertise." (jacket)

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