Ваш любимый книжный интернет-магазин
Перейти на
GlavKniga.SU
Ваш город: Алматы
Ваше местоположение – Алматы
 Да 
От вашего выбора зависит время и стоимость доставки
Корзина: пуста
Авторизация 
  Логин
  
  Пароль
  
Регистрация  Забыли пароль?

Поиск по каталогу 
(строгое соответствие)
ISBN
Фраза в названии или аннотации
Автор
Язык книги
Год издания
с по
Электронный носитель
Тип издания
Вид издания
Отрасли экономики
Отрасли знаний
Сферы деятельности
Надотраслевые технологии
Разделы каталога
худ. литературы

Portfolio Management.

В наличии
Местонахождение: АлматыСостояние экземпляра: новый
Бумажная
версия
Автор: Shambhu Nath Singh
ISBN: 9783330028562
Год издания: 2017
Формат книги: 60×90/16 (145×215 мм)
Количество страниц: 116
Издательство: LAP LAMBERT Academic Publishing
Цена: 30038 тг
Положить в корзину
Позиции в рубрикаторе
Сферы деятельности:
Код товара: 182015
Способы доставки в город Алматы *
комплектация (срок до отгрузки) не более 2 рабочих дней
Самовывоз из города Алматы (пункты самовывоза партнёра CDEK)
Курьерская доставка CDEK из города Москва
Доставка Почтой России из города Москва
      Аннотация: The human life is full of struggles and competitions as each activity of human being is economic or non-economic. Since in economic activity there is involvement of return while in non economic activity there is no expectation of return. Risk and return are the two sides of an investment coin and these two sides always work together hence, this book is an effort to describe the concepts of risk and return and various techniques to manage them. Moreover, it covers the various models like Markowitz Efficient Frontier, Modern Portfolio Management, Sharpe's Single Index Model, Capital Asset Pricing Model and Arbitrage Pricing Model which are generally used for minimization of the risk and optimization of the return. Apart from this, it also covers the different measures for monitoring and evaluating the portfolio. Certainly, the basic terminology and definitions of investment and Portfolio Management terms are also discussed. So in today's dynamic scenario this book can be useful for Economics, Commerce and Management students, researchers and general people to learn the better investment techniques and to create the effective portfolio investment.
Ключевые слова: portfolio management, portfolio risk and return, Management of Risk of Investment, Management of Portfolio Return, Techniques of Risk Minimization of Investment
Похожие издания
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Ami Agrawal
Security Analysis and Portfolio Management. In the Indian Capital Market.
1905 г.,  68 стр.,  мягкий переплет
This comprehensive book on "Security Analysis and Portfolio Management in the Indian Capital Market" covers various essential aspects of investing and managing portfolios in India. It begins with an overview of the Indian capital market, its evolution, structure, and regulatory framework, providing a foundation for understanding the...

28817 тг
Бумажная версия
Отрасли знаний: Общественные науки -> Экономика
Sofiane Mostéfaoui
Essentials of Finance. An Introduction to Financial Management, Financial Institutions and Portfolio Management.
1905 г.,  264 стр.,  мягкий переплет
This book intends to present a descriptive analysis of the financial management, financial institutions, and financial portfolios and show that they are all interconnected components of the global financial system. Furthermore, each of these components plays an important role in promoting economic growth and development. Successful financial...

55622 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Банковская деятельность
Sathishkumar R.,Umamaheswari D. and Prabhu S.
Investment and Portfolio Management. Security Analysis, Portfolio Construction and Evaluation.
1905 г.,  124 стр.,  мягкий переплет
The world of investment is fascinating and, at the same time, enigmatic. Only knowledgeable investors can minimize investment-related risks through systematic planning and efficient and effective management of their assets. In this book investment and Portfolio Management, you gain that knowledge. It will be helpful to academicians and...

35645 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Parvin Banu I. and Arthi R.
Security Analysis and Portfolio Management. Investment, Fundamental Security Analysis, Portfolio Management.
1905 г.,  92 стр.,  мягкий переплет
Security Analysis, Portfolio Management, and Financial Derivatives integrates the many topics of modern investment analysis. Security analysis helps a financial expert or a security analyst to determine the value of assets in a portfolio. Understand basic theories of managing a portfolio of financial assets within the risk–return framework. Book...

31605 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Банковская деятельность
M. Muthugopalakrishnan and Mariappan Raja
Security Analysis & Portfolio Management Theory, Problems & Solutions. Security Analysis & Portfolio Management.
2020 г.,  148 стр.,  мягкий переплет
It is a great pleasure for us bringing out our new book “Security Analysis and Portfolio Management - Theory, Problems and Solutions”. Security Analysis and Portfolio Management is generally regarded as complex subject of a technical nature. This book presents the subject in a simple, systematic and lucid manner. Solved problems of almost all...

36982 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Банковская деятельность
Shaik Abdul Majeeb Pasha and Lisanework Amare Tegegn
Investment Analysis and Portfolio Management. .
2019 г.,  316 стр.,  мягкий переплет
Investment Analysis and Portfolio Management is written by most experienced people, who is having +20 years Academic, Industry, Research experience. so that this book is definitely allow you to go through the data, which is immensely useful to you. Once you read this book, most of the information will be useful to apply practically, for taking...

55533 тг
Бумажная версия
Отрасли знаний: Точные науки -> Информатика и программирование
Preeti Dalal
Clustering and Portfolio Management. Experiments and Analysis.
2019 г.,  144 стр.,  мягкий переплет
This research work proposed a framework for building efficient portfolio management using clustering of Nifty financial data through intelligent agents. The framework uses various kinds of agents, i.e. user agent, clustering agent, ranking agent, validation agent, and portfolio manager to automate portfolio management task. The user agent...

36840 тг
Бумажная версия
Отрасли знаний: Общественные науки -> Юриспруденция
Preeti Dalal
Clustering and Portfolio Management - Theoretical Perspective. .
2019 г.,  64 стр.,  мягкий переплет
With the increase of economic globalization and the evolution of information technology, financial data are being generated and accumulated at an unprecedented rate. It is used to keep track of companies’ business performance, monitor market changes and support financial decision-making. Nonetheless, the rapidly growing volume of data has far...

23350 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Hukmaram Pawar
A Study on Portfolio Management Service. A Survey of Investors of Mehsana city of Gujarat State.
2019 г.,  80 стр.,  мягкий переплет
This book contain results of the survey conducted by the researcher. This survey was survey of investors of Mehsana city towards the Portfolio Management services provided by the various stock brokers in Mehsana city of Gujarat. Mehsana is a district place of Gujarat state and so many share brokers like Motilal oswal Ltd. Share khan Ltd. etc are...

20531 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Sr?an Drlja?a
Agility & Project Portfolio Management. Agility & Project Portfolio Management.
2018 г.,  88 стр.,  мягкий переплет
Projects and programs are initiated for the reason, and the reason should be aligned with organizational strategy and clearly expressed in a project charter. Once initiated, every project is a part of the bigger whole, and that whole should be aligned with strategic objectives of an organization as well. Both of these tasks, steering of the...

24203 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Olawale Kolapo Steve Emiola
Application of Quadratic Programming in Portfolio Management of Funds. .
2018 г.,  144 стр.,  мягкий переплет
Modeling of portfolio management of share capital investments in Nigeria with application of quadratic programming was undertaking in this research work. One of the problems of investors is where to invest and much to invest to minimize risk and maximize expected annual return. The book came up with eight (8) models, five (5) of which is from a...

39744 тг
Бумажная версия
Отрасли знаний: Общественные науки -> Юриспруденция
Toudeka Yaovi Elikplim
The Optimization of Portfolio Management in Emerging Capital Markets. The Case of EDC Investments ltd.
2018 г.,  144 стр.,  мягкий переплет
The study investigates how portfolio management could be optimized in emerging market by focusing on equity portfolio management at EDC Investments Ltd. Therefore the merit of a rotation strategy that shifts the equity portfolio allocation among cyclical and defensive stocks listed on the Ghana Stock Exchange is investigated over 5-year period...

25224 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Denis Neglyad
Customer-centric project portfolio management of IT projects in banks. How to manage portfolio of IT projects delivering value to the end-customer.
2016 г.,  104 стр.,  мягкий переплет
Digitalization disrupts the banking industry. Do your internal IT departments help you to tackle this challenge? Are they the source of strategic advantage? Do they really address the needs of your customers on the street? To survive, banks need to integrate the voice of the end-customer into their IT investments and have to make their IT truly...

32031 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Ishwara P.
Portfolio Management. .
2015 г.,  192 стр.,  мягкий переплет
This book on ‘Portfolio Management’ has been written to provide an insight into the world of investment and portfolio management with practical problems and solutions. This book consists of various portfolio theories and their application. This book explains attributes of investment and steps involved in the investment management. It provides...

43386 тг
Бумажная версия
Отрасли знаний: Общественные науки
Madeeha Shah
Impact of Stakeholders' Engagement on Project Portfolio Management. .
2015 г.,  132 стр.,  мягкий переплет
Stakeholder behavior and stakeholder management are necessary success essentials within project portfolio management (PPM) success. This empirical study of 87 well known software houses of Lahore, were organizing projects in portfolios investigated the effect of engagement of stakeholder’s engagement on project portfolio management success....

33510 тг
Бумажная версия
Отрасли знаний: Точные науки -> Математика
Stoyan Stoyanov,Svetlozar Rachev and Frank Fabozzi
Optimal Portfolio Management in Highly Volatile Markets. .
2013 г.,  244 стр.,  мягкий переплет
In this book, we consider the static problem of portfolio selection in highly volatile markets. From the point of view of risk forecasting, we focus on expected tail loss (ETL) and the more general family of spectral risk measures when the underlying distribution is heavy-tailed. From an optimization perspective, we concentrate on objectives of...

53944 тг
Бумажная версия
Сферы деятельности: Предпринимательская деятельность -> Менеджмент
Sarabjit Singh Shergill,Jaspreet Singh and Neena Brar
Portfolio Management. .
2013 г.,  76 стр.,  мягкий переплет
The objective of this book is to provide guidelines to the students of Management/Finance and Industry Professionals to understand the entire concepts of Portfolio management. It gives readers a solid foundation in personal finance to manage their money to derive the maximum benefit from what they earn. This book covers the various theories and...

21841 тг
Бумажная версия
Отрасли знаний: Общественные науки -> Экономика
Inna Grybenko
Portfolio Management Practices in Sovereign Wealth Fund. International Diversification at the Norwegian Government Pension Fund and the Implications for Russia.
2013 г.,  112 стр.,  мягкий переплет
The concept of the sovereign fund as strong financial instrument which serves for stability of the country’s financial system is realized in Norway under the framework of the Norwegian Government Pension Fund. The pension oil fund is managed by Norges Bank, the national bank of Norway, and has its own original investment strategy. The author...

29460 тг
Бумажная версия