جزئیات کتاب
فرمت
جلد سخت
صفحات
720
زبان
انگلیسی
منتشر شده
Aug 6, 2014
ناشر
Oxford University Press
ISBN-10
0199959323
ISBN-13
9780199959327
توضیحات
In this insightful work, Andrew Ang delves into the intricate world of asset management through a systematic lens. He emphasizes the importance of understanding various factors and their roles in investment strategy, offering readers a structured framework to enhance their decision-making processes.
Ang’s expertise shines as he breaks down complex concepts into more manageable components, making them accessible for both novice and experienced investors. By blending theoretical knowledge with practical applications, he helps readers navigate the nuances of factor investing with confidence.
With real-world examples and a clear methodology, this book serves as a vital resource for anyone looking to deepen their understanding of market dynamics and improve their investment performance. It encourages a thoughtful approach to asset management that can adapt to the ever-changing financial landscape.
Ang’s expertise shines as he breaks down complex concepts into more manageable components, making them accessible for both novice and experienced investors. By blending theoretical knowledge with practical applications, he helps readers navigate the nuances of factor investing with confidence.
With real-world examples and a clear methodology, this book serves as a vital resource for anyone looking to deepen their understanding of market dynamics and improve their investment performance. It encourages a thoughtful approach to asset management that can adapt to the ever-changing financial landscape.
ژانرها
کسبوکار و اقتصاد
سلامت و تندرستی