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For many investors, as well as some brokers and analysts, understanding the often complex techniques of forecasting market trends and strategies for maximising investment portfolio return can be difficult. Here is an invaluable text that explains modern fund management and techniques for market analysis. It uses real-life issues surrounding asset management, within the context of modern portfolio theory and fundamental market and security analysis.
Asset Management in Theory and Practice is an explanation and to some extent re-evaluation of the fundamentals that drive the fortunes of different markets. As such it presents a solid platform from which the reader can then develop an understanding of more complex analytical techniques and asset allocation strategies.
It should prove invaluable to any investor or student of the financial markets as well as more experienced brokers or analysts seeking to explain to customers how the markets and investment strategies work.
This special low-priced edition is for sale in India, Bangladesh, Bhutan, Maldives, Nepal, Myanmar, Pakistan and Sri Lanka only. ISBN - 9788122416220
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Pages : 248
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