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Pension Fund Investment Management

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Leveringstid: 7-30 dager

Handlinger

Beskrivelse

Omtale

Every investment professional involved with the management of pension funds will embrace this wide-ranging handbook. Consisting of articles by an esteemed panel of contributors, it covers the basics as well as the latest on pension fund governance, operations, and value creation.

  • Utgivelsesdato:

    31.08.1997

  • ISBN/Varenr:

    9781883249267

  • Språk:

    Engelsk

  • Forlag:

    John Wiley & Sons Inc

  • Innbinding:

    Innbundet

  • Fagtema:

    Økonomi, finans, næringsliv og ledelse

  • Serie:

    Frank J. Fabozzi Series

  • Litteraturtype:

    Faglitteratur

  • Utgave:

    2

  • Sider:

    312

  • Høyde:

    23.9 cm

  • Bredde:

    16.2 cm

Network Models in Finance : Expanding the Tools for Portfolio and Risk Management

Network Models in Finance : Expanding the Tools for Portfolio and Risk Management

Fabozzi, Frank J. • Konstantinov, Gueorgui S.
9781394279685 Innbundet
10.02.2025
Engelsk

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Foundations of the Pricing of Financial Derivatives : Theory and Analysis

Foundations of the Pricing of Financial Derivatives : Theory and Analysis

Chance, Don M. • Brooks, Robert E.
9781394179657 Innbundet
25.01.2024
Engelsk

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Systematic Investing in Credit

Systematic Investing in Credit

Desclee, Albert • Polbennikov, Simon • Dynkin, Lev • Hyman, Jay • Ben Dor, Arik
9781119751281 Innbundet
25.01.2021
Engelsk

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Achieving Investment Excellence : A Practical Guide for Trustees of Pension Funds, Endowments and Foundations

Achieving Investment Excellence : A Practical Guide for Trustees of Pension Funds, Endowments and Foundations

Slager, Alfred • Koedijk, Kees • van Dam, Jaap
9781119437659 Innbundet
22.03.2019
Engelsk

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Portfolio Construction and Analytics

Portfolio Construction and Analytics

Pachamanova, Dessislava A. • Fabozzi, Frank J.
9781118445594 Innbundet
24.05.2016
Engelsk

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Fat-Tailed and Skewed Asset Return Distributions : Implications for Risk Management, Portfolio Selection, and Option Pricing

Fat-Tailed and Skewed Asset Return Distributions : Implications for Risk Management, Portfolio Selection, and Option Pricing

Menn, Christian • Rachev, Svetlozar T. • Fabozzi, Frank J.
9780471718864 Innbundet
26.08.2005
Engelsk

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Investment Performance Measurement

Investment Performance Measurement

Feibel, Bruce J.
9780471268499 Innbundet
25.02.2003
Engelsk

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Duration, Convexity, and Other Bond Risk Measures

Duration, Convexity, and Other Bond Risk Measures

Fabozzi, Frank J.
9781883249632 Innbundet
31.05.1999
Engelsk

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Advanced Fixed Income Analytics

Advanced Fixed Income Analytics

Phoa, Wesley
9781883249342 Innbundet
31.10.1997
Engelsk

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