This book covers a wide spectrum of investment topics ranging from risk management, performance measurement, fund characteristics and consumption risk to fixed income portfolio management.
Bibliografische Angaben
April 2013, 248 Seiten, Englisch
Taylor and Francis
978-0-415-66187-4
Inhaltsverzeichnis
Schlagworte
Inhalt
This book covers a wide spectrum of investment topics ranging from risk management, performance measurement, fund characteristics and consumption risk to fixed income portfolio management.