Jerald E. Pinto - Böcker
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8 produkter
8 produkter
466 kr
Skickas inom 7-10 vardagar
In the Third Edition of Managing Investment Portfolios, financial experts John Maginn, Donald Tuttle, Jerald Pinto, and Dennis McLeavey provide complete coverage of the most important issues surrounding modern portfolio management.Now, in Managing Investment Portfolios Workbook, Third Edition, they offer you a wealth of practical information and exercises that will solidify your understanding of the tools and techniques associated with this discipline. This comprehensive study guide&mash;which parallels the main book chapter by chapter&mash;contains challenging problems and a complete set of solutions as well as concise learning outcome statements and summary overviews.Topics reviewed include: The portfolio management process and the investment policy statementManaging individual and institutional investor portfoliosCapital market expectations, fixed income, equity, and alternative investment portfolio managementMonitoring and rebalancing a portfolioGlobal investment performance standards
Del 37 - CFA Institute Investment Series
Investments
Principles of Portfolio and Equity Analysis
Inbunden, Engelska, 2011
1 078 kr
Skickas inom 7-10 vardagar
A comprehensive guide to investment analysis and portfolio management by an expert team from the CFA Institute In a world of specialization, no other profession likely requires such broad, yet in-depth knowledge than that of financial analyst. Financial analysts must not only possess a broad understanding of the financial markets-including structure, organization, efficiency, portfolio management, risk and return, and planning and construction-but they must also have a strong sense of how to evaluate industries and companies prior to engaging in an analysis of a specific stock. Investments: Principles of Portfolio and Equity Analysis provides the broad-based knowledge professionals and students of the markets need to manage money and maximize return. The book Details market structure and functions, market anomalies, secondary market basics, and regulationDescribes investment assets and asset classes, types of positions and orders, as well as forecasting methodologiesDiscusses return and risk characteristics, portfolio diversification and management, the basics of both technical analysis and major technical indicators, and much moreA companion Workbook, which includes learning outcomes, summary overviews, and problems and solutions sections is available and sold separatelyInvestments provides readers unparalleled access to the best in professional quality information on investment analysis and portfolio management.
Del 38 - CFA Institute Investment Series
Investments Workbook
Principles of Portfolio and Equity Analysis
Häftad, Engelska, 2011
466 kr
Skickas inom 7-10 vardagar
Companion workbook to the CFA Institute's Investments: Principles of Portfolio and Equity Analysis Workbook In a world of specialization, no other profession likely requires such broad, yet in-depth knowledge than that of financial analyst. Investments: Principles of Portfolio and Equity Analysis provides the broad-based knowledge professionals and students of the markets need to manage money and maximize return. This companion Workbook, also edited by experts from the CFA Institute, allows busy professionals to gain a stronger understanding of core investment topics. The Workbook Includes learning outcomes, summaries, and problems and solutions sections for each chapter in the main bookBlends theory and practiceProvides access to the highest quality information on investment analysis and portfolio managementWith Investments: Analysis and Portfolio Management Workbook, busy professionals can reinforce what they've learned in reading Investments, while doing so at their own pace.
1 309 kr
Tillfälligt slut
A comprehensive guide to investment analysis and portfolio management by an expert team from the CFA Institute In a world of specialization, no other profession likely requires such broad, yet in-depth knowledge than that of financial analyst. Financial analysts must not only possess a broad understanding of the financial markets-including structure, organization, efficiency, portfolio management, risk and return, and planning and construction-but they must also have a strong sense of how to evaluate industries and companies prior to engaging in an analysis of a specific stock. Investments: Principles of Portfolio and Equity Analysis provides the broad-based knowledge professionals and students of the markets need to manage money and maximize return. The book Details market structure and functions, market anomalies, secondary market basics, and regulationDescribes investment assets and asset classes, types of positions and orders, as well as forecasting methodologiesDiscusses return and risk characteristics, portfolio diversification and management, the basics of both technical analysis and major technical indicators, and much moreA companion Workbook, which includes learning outcomes, summary overviews, and problems and solutions sections is available and sold separatelyInvestments provides readers unparalleled access to the best in professional quality information on investment analysis and portfolio management.
Del 45 - CFA Institute Investment Series
Economics for Investment Decision Makers
Micro, Macro, and International Economics
Inbunden, Engelska, 2013
1 078 kr
Skickas inom 7-10 vardagar
The economics background investors need to interpret global economic news distilled to the essential elements: A tool of choice for investment decision-makers. Written by a distinguished academics and practitioners selected and guided by CFA Institute, the world’s largest association of finance professionals, Economics for Investment Decision Makers is unique in presenting microeconomics and macroeconomics with relevance to investors and investment analysts constantly in mind. The selection of fundamental topics is comprehensive, while coverage of topics such as international trade, foreign exchange markets, and currency exchange rate forecasting reflects global perspectives of pressing investor importance. Concise, plain-English introduction useful to investors and investment analystsRelevant to security analysis, industry analysis, country analysis, portfolio management, and capital market strategyUnderstand economic news and what it meansAll concepts defined and simply explained, no prior background in economics assumedAbundant examples and illustrationsGlobal markets perspective
Del 46 - CFA Institute Investment Series
Economics for Investment Decision Makers
Micro, Macro, and International Economics, Workbook
Häftad, Engelska, 2013
466 kr
Skickas inom 7-10 vardagar
The economics background investors need to interpret global economic news distilled to the essential elements: A tool of choice for investment decision-makers. Written by a distinguished academics and practitioners selected and guided by CFA Institute, the world’s largest association of finance professionals, Economics for Investment Decision Makers is unique in presenting microeconomics and macroeconomics with relevance to investors and investment analysts constantly in mind. The selection of fundamental topics is comprehensive, while coverage of topics such as international trade, foreign exchange markets, and currency exchange rate forecasting reflects global perspectives of pressing investor importance. Concise, plain-English introduction useful to investors and investment analystsRelevant to security analysis, industry analysis, country analysis, portfolio management, and capital market strategyUnderstand economic news and what it meansAll concepts defined and simply explained, no prior background in economics assumedAbundant examples and illustrationsGlobal markets perspective
982 kr
Tillfälligt slut
Your complete guide to quantitative analysis in the investment industry Quantitative Investment Analysis, Third Edition is a newly revised and updated text that presents you with a blend of theory and practice materials to guide you through the use of statistics within the context of finance and investment. With equal focus on theoretical concepts and their practical applications, this approachable resource offers features, such as learning outcome statements, that are targeted at helping you understand, retain, and apply the information you have learned. Throughout the text's chapters, you explore a wide range of topics, such as the time value of money, discounted cash flow applications, common probability distributions, sampling and estimation, hypothesis testing, and correlation and regression. Applying quantitative analysis to the investment process is an important task for investment pros and students. A reference that provides even subject matter treatment, consistent mathematical notation, and continuity in topic coverage will make the learning process easier and will bolster your success.* Explore the materials you need to apply quantitative analysis to finance and investment data even if you have no previous knowledge of this subject area * Access updated content that offers insight into the latest topics relevant to the field * Consider a wide range of subject areas within the text, including chapters on multiple regression, issues in regression analysis, time-series analysis, and portfolio concepts * Leverage supplemental materials, including the companion Workbook and Instructor's Manual, sold separately Quantitative Investment Analysis, Third Edition is a fundamental resource that covers the wide range of quantitative methods you need to know in order to apply quantitative analysis to the investment process.
1 180 kr
Skickas inom 7-10 vardagar
Navigate equity investments and asset valuation with confidence Equity Asset Valuation, Fourth Edition blends theory and practice to paint an accurate, informative picture of the equity asset world. The most comprehensive resource on the market, this text supplements your studies for the third step in the three-level CFA certification program by integrating both accounting and finance concepts to explore a collection of valuation models and challenge you to determine which models are most appropriate for certain companies and circumstances. Detailed learning outcome statements help you navigate your way through the content, which covers a wide range of topics, including how an analyst approaches the equity valuation process, the basic DDM, the derivation of the required rate of return within the context of Markowitz and Sharpe's modern portfolio theory, and more.