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Global Investments

Pearson New International Edition - Sixth Edition

Parametry

  • 592 strony
  • 21 godzin czytania

Więcej o książce

Global Investments, the Sixth Edition of the previously titled International Investments, provides accessible coverage of international capital markets using numerous examples to illustrate the applications of concepts and theories. The new title reflects the current understanding that the distinction between domestic and international is no longer relevant and that asset management is global. This book is ideal for CFA(r) (Chartered Financial Analyst) candidates, advanced finance undergraduates, and MBA students, and it has been selected by the CFA Institute as part of the curriculum to deliver the Candidate Body of Knowledge for the CFA. The text is also widely used by professionals working in the investments area, as the level is accessible to students and portfolio managers without recent training in portfolio theory.

Zakup książki

Global Investments, Bruno H. Solnik, Dennis W. McLeavey

Język
Rok wydania
2013
Oprawa
(miękka)
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Tytuł
Global Investments
Podtytuł
Pearson New International Edition - Sixth Edition
Język
angielski
Rok wydania
2013
Oprawa
miękka
Liczba stron
592
ISBN10
1292023074
ISBN13
9781292023076
Seria
Opis
Global Investments, the Sixth Edition of the previously titled International Investments, provides accessible coverage of international capital markets using numerous examples to illustrate the applications of concepts and theories. The new title reflects the current understanding that the distinction between domestic and international is no longer relevant and that asset management is global. This book is ideal for CFA(r) (Chartered Financial Analyst) candidates, advanced finance undergraduates, and MBA students, and it has been selected by the CFA Institute as part of the curriculum to deliver the Candidate Body of Knowledge for the CFA. The text is also widely used by professionals working in the investments area, as the level is accessible to students and portfolio managers without recent training in portfolio theory.