Managing Investment Portfolios

This edited collection is a handbok on investment management. It is broader and less deep than Fabozzi and Markowitz (2002), which focused primarily on portfolio optimization, equity investing and fixed income investing. Maginn has less on those topics but offers chapters on market forecasting, the different categories of institutional investors, retail investors, market microstructure theory, rebalancing, etc. Read both books. They are complements more than competitors ...

For similar books, see sections:

Portfolio Management - General

Portfolio Management - Allocation/Optimization

Portfolio Management - Performance Analysis

Portfolio Management - Equities

Portfolio Management - Fixed Income

Portfolio Management - Specialty Strategies

Portfolio Management - Indexing

Portfolio Management - Mutual Funds, ETFs

Portfolio Management - Hedge Funds

Portfolio Management - International

disclaimer

website: http://www.contingencyanalysis.com
books direct link: http://www.riskbook.com
copyright © Contingency Analysis, 2007