Dettagli del libro
Formato
Kindle
Pagine
269
Lingua
Inglese
Pubblicato
Sep 6, 2013
Editore
McGraw Hill
ISBN-10
0071817948
ISBN-13
9780071817943
Descrizione
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.
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.
Generi
Business ed Economia