Risk-Return Analysis (Volume 2): The Theory and Practice of Rational Investing

Risk-Return Analysis (Volume 2): The Theory and Practice of Rational Investing

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Jan 1, 2016 · 영어 · 킨들 (400 페이지)
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형식 킨들
페이지 400
언어 영어
출판됨 Jan 1, 2016
출판사 McGraw Hill
1
ISBN-10 0071830103
ISBN-13 9780071830102

설명

In this comprehensive exploration of investing, Harry M. Markowitz deepens his renowned understanding of modern portfolio theory and its applications. The author, celebrated for revolutionizing the field of finance, combines theoretical frameworks with practical strategies to navigate today’s complex market landscape.

With a focus on rational investing, Markowitz meticulously examines the delicate balance between risk and return, providing readers with a clear roadmap for making informed investment decisions. His insights are grounded in decades of research and experience, making this volume an essential resource for both novice and seasoned investors.

As he reflects on evolving market dynamics, Markowitz also addresses the fundamental principles that govern financial decision-making. Through detailed analysis and contemporary case studies, he invites readers to rethink their approaches to risk management and investment performance, ensuring that they are well-equipped to succeed in the ever-changing world of finance.

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