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Author: Dr. Ambika Prasad Dash
Publisher: I K International Publishing House
Keywords: paperback, management, portfolio, analysis, security
Number of Pages: 464
Published: 2009-02-19
List price: $29.00
ISBN-10: 9380026102
ISBN-13: 9789380026107
Security Analysis and Portfolio Management endeavours to provide concepts, text and cases for a course on Security Analysis and Portfolio Management, which is widely taught in the business schools around the world. It is consciously planned to help students to acquire knowledge, develop analytical skills and gain insights pertaining to how a fund manager strikes winning strategies for investment by using time-tested, validated and proven techniques which ranges from fundamental analysis to mundane mathematical models. The book is divided in four broad parts. Part One describes the global inves
Author: Stefan Povaly
Publisher: Springer
Keywords: management, leveraged, buyouts, process, divestment, equity, exits, private
Number of Pages: 413
Published: 2007-04-12
List price: $135.00
ISBN-10: 3540709533
ISBN-13: 9783540709534
Private Equity Exits provides the first comprehensive analysis of private equity divestment processes – so-called ’exits’ – for European buyouts. The work is designed as a compendium of current scientific knowledge on portfolio company exits and also provides deeper insights into various aspects of divestment processes, which is underpinned by own extensive empirical analysis and findings. Examining the efficiency of exits, this book offers recommendations and guidelines for an integrated and exit-oriented private equity portfolio management and provides a detailed assessment
Author: Lars Jaeger
Publisher: Euromoney Institutional Investor PLC
Keywords: private, equity, investments, funds, hedge, generation, risk, management, new
Number of Pages: 462
Published: 2004-04-01
List price: $327.00
ISBN-10: 1843741350
ISBN-13: 9781843741350
The New Generation of Risk Management for Hedge Funds and Private Equity Investments has been designed to address issues that raise disquiet among investors in alternative investments. This book describes and evaluates the unique risks affecting individual hedge fund strategies, private equity investments and generic risks of types of alternative investment strategies. Ensuring that both institutional investors and private investors have the information they need to be able to evaluate their investment advice and effectively allocate and manage their alternative investment strategies.
Author: Gillian D. Elcock
Publisher: Ecademy Press
Keywords: career, asset, management, starting, guide, research, analyst, job, equity
Number of Pages: 166
Published: 2010-11-29
List price: $17.99
ISBN-10: 1905823932
ISBN-13: 9781905823932
Do you want to get a job in the asset management industry, analyzing stocks or managing portfolios? It is a highly competitive process, with hundreds of university graduates, MBA students, and others trying to get into the industry every year, but not many available positions. How do you go about convincing a company to give you a job? What will the interviews by like and how should you prepare? Should you apply for sell-side research roles as well as buy-side ones? What are the real differences between the buy and sell side? This book, written by an experienced equity research analyst, will a

Authors:E. Richard Brownlee II, Timothy S. Lucas, D. Don
Publisher: ICFA (CFA Institute)
Keywords: portfolio, management, analysis, investment, fas, impact
Number of Pages: 96
Published: 1987-06-15
List price: unknow
ISBN-10: 0935015027
ISBN-13: 9780935015027
The Impact of FAS 87 on Investment Analysis and Portfolio Management Authors: E. Richard Brownlee II, Timothy S. Lucas, D. Don Ezra, Gerald I. White, Bruce B. Bredehoft, Martin L. Leibowitz, Donald W. Phillips, Irwin Tepper, Myra R. DruckerPublisher: ICFA (CFA Institute)Buy New: $20.00as of 11/13/2009 10:54 CST details Seller: Amazon.comSales Rank: 4799831Media: PaperbackPages: 96Shipping Weight (lbs): 0.5Dimensions (in): 10.7 x 7.8 x 0.3ISBN: 0935015027Dewey Decimal Number: 657.75EAN: 9780935015027ASIN: 0935015027Publication Da
Author: Jean LP Brunel
Publisher: Euromoney Institutional Investor
Keywords: portfolio, managers, direction, new, wealth, management, intergrated
Number of Pages: 200
Published: 2006-02-01
List price: $270.00
ISBN-10: 1843742667
ISBN-13: 9781843742661
Integrated Wealth Management emphasizes how you, the high-net-worth portfolio manager must follow a different set of rules, from your institutional counterparts. The author gives you the "step by step" tools necessary to make long term decisions that will be in the best interest of your clients. Private wealth management is a new, discrete discipline, and not just a variation on the traditional investment management theme. The factors necessitating this new discipline include taxation, using options and risk strategies, individual cash flow needs and investor psychology. As an investment advis
Author: Frank J. Fabozzi
Publisher: Wiley
Keywords: management, volume, portfolio, income, perspectives, fixed, professional
Number of Pages: 266
Published: 2000-06-01
List price: $69.95
ISBN-10: 1883249775
ISBN-13: 9781883249779
In the turbulent marketplace of the New Economy, portfolio managers must expertly control risk for investors who demand better and better returns even from the safest investments. Finance and investing expert Frank Fabozzi leads a team of experts in the discussion of the key issues of fixed income portfolio management in the latest Perspectives title from his best-selling library. Perspectives on Fixed Income Portfolio Management covers topics on the frontiers of fixed income portfolio management with a focus on risk control, volatility framework for the corporate market, risk management for f