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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 models like; Markowitz Theory, The Single Index Model, Arbitrage Pricing Theory, Capital Asset Pricing Model.

Produktbeschreibung
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 models like; Markowitz Theory, The Single Index Model, Arbitrage Pricing Theory, Capital Asset Pricing Model.
Autorenporträt
The author is a specialist in the area of marketing. He is highly qualified with B.SC. economics (honours), P.G. diploma in international business, M. Com., MBA, M.Phil.(Management). He has written more than 30 research papers. He has work experience in well known stock broking firm before entering in the field of teaching & research in management.