This book is designed to offer a rigorous yet accessible treatment of asset management, balancing sound theoretical foundations with detailed analytical treatment and applications. The focus is on equipping readers with a robust analytical framework, without overwhelming them with unnecessary complexity or diluting the essential principles of the discipline. With this book the reader will be in the position to master the main technique of portfolio theory, gaining a deep understanding of all the most important tools.
Marzo, M. (In stampa/Attività in corso). Economics of Portfolio Management. Cambridge : Cambridge University Press.
Economics of Portfolio Management
Massimiliano Marzo
In corso di stampa
Abstract
This book is designed to offer a rigorous yet accessible treatment of asset management, balancing sound theoretical foundations with detailed analytical treatment and applications. The focus is on equipping readers with a robust analytical framework, without overwhelming them with unnecessary complexity or diluting the essential principles of the discipline. With this book the reader will be in the position to master the main technique of portfolio theory, gaining a deep understanding of all the most important tools.File in questo prodotto:
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