Risk-Return Analysis: The Theory and Practice of Rational Investing

Risk-Return Analysis: The Theory and Practice of Rational Investing

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Sep 6, 2013 · انگلیسی · کیندل (269 صفحات)
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جزئیات کتاب

فرمت کیندل
صفحات 269
زبان انگلیسی
منتشر شده Sep 6, 2013
ناشر McGraw Hill
ISBN-10 0071817948
ISBN-13 9780071817943

توضیحات

In this insightful exploration of rational investing, Harry M. Markowitz delves into the intricacies of risk-return analysis, laying the groundwork for modern portfolio theory. With a focus on the pivotal concept of portfolio selection, he presents a framework that empowers investors to make informed decisions while navigating the unpredictable nature of financial markets.

Utilizing a blend of theoretical foundations and practical applications, the book bridges the gap between academic theory and real-world investment strategies. Markowitz's pioneering work encourages a disciplined approach to asset allocation, fostering a deeper understanding of how to optimize returns while managing risk effectively. Through his guidance, readers are equipped to enhance their investment acumen and achieve greater financial stability.

ژانرها

کسب‌وکار و اقتصاد
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