Kód: 07181011
Provides an overview of analytical techniques used to evaluate portfolios, such as the excess return above (or below) the benchmark. A proper attribution tells us what caused the excess return, or where value was added or subtract ... celý popis
Nákupem získáte 145 bodů
Provides an overview of analytical techniques used to evaluate portfolios, such as the excess return above (or below) the benchmark. A proper attribution tells us what caused the excess return, or where value was added or subtracted as a result of a manager's decisions. This book guides the reader in choosing an appropriate attribution model.
Zařazení knihy Knihy v angličtině Economics, finance, business & management Business & management
1454 Kč
Osobní odběr Praha, Brno a 12903 dalších
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