Managing Investment Portfolios A Dynamic Process

ISBN-10: 0470104937
ISBN-13: 9780470104934
Edition: 3rd 2007 (Workbook)
List price: $45.00 Buy it from $11.54
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Description: In the Third Edition of Managing Investment Portfolios, financial experts John Maginn, Donald Tuttle, Jerald Pinto, and Dennis McLeavey provide complete coverage of the most important issues surrounding modern portfolio management.Now, in Managing  More...

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Book details

List price: $45.00
Edition: 3rd
Copyright year: 2007
Publisher: John Wiley & Sons, Incorporated
Publication date: 3/5/2007
Binding: Paperback
Pages: 240
Size: 7.00" wide x 10.00" long x 1.00" tall
Weight: 1.210
Language: English

In the Third Edition of Managing Investment Portfolios, financial experts John Maginn, Donald Tuttle, Jerald Pinto, and Dennis McLeavey provide complete coverage of the most important issues surrounding modern portfolio management.Now, in Managing Investment Portfolios Workbook, Third Edition, they offer you a wealth of practical information and exercises that will solidify your understanding of the tools and techniques associated with this discipline. This comprehensive study guide_which parallels the main book chapter by chapter_contains challenging problems and a complete set of solutions as well as concise learning outcome statements and summary overviews.Topics reviewed include:The portfolio management process and the investment policy statementManaging individual and institutional investor portfoliosCapital market expectations, fixed income, equity, and alternative investment portfolio managementMonitoring and rebalancing a portfolioGlobal investment performance standards

Learning Outcomes, Summary Overview, and Problems
The Portfolio Management Process and the Investment Policy Statement
Learning Outcomes
Summary Overview
Problems
Managing Individual Investor Portfolios
Learning Outcomes
Summary Overview
Problems
Managing Institutional Investor Portfolios
Learning Outcomes
Summary Overview
Problems
Capital Market Expectations
Learning Outcomes
Summary Overview
Problems
Asset Allocation
Learning Outcomes
Summary Overview
Problems
Fixed-Income Portfolio Management
Learning Outcomes
Summary Overview
Problems
Equity Portfolio Management
Learning Outcomes
Summary Overview
Problems
Alternative Investments Portfolio Management
Learning Outcomes
Summary Overview
Problems
Risk Management
Learning Outcomes
Summary Overview
Problems
Execution of Portfolio Decisions
Learning Outcomes
Summary Overview
Problems
Monitoring and Rebalancing
Learning Outcomes
Summary Overview
Problems
Evaluating Portfolio Performance
Learning Outcomes
Summary Overview
Problems
Global Investment Performance Standards
Learning Outcomes
Summary Overview
Problems
Solutions
The Portfolio Management Process and the Investment Policy Statement
Solutions
Managing Individual Investor Portfolios
Solutions
Managing Institutional Investor Portfolios
Solutions
Capital Market Expectations
Solutions
Asset Allocation
Solutions
Fixed-Income Portfolio Management
Solutions
Equity Portfolio Management
Solutions
Alternative Investments Portfolio Management
Solutions
Risk Management
Solutions
Execution of Portfolio Decisions
Solutions
Monitoring and Rebalancing
Solutions
Evaluating Portfolio Performance
Solutions
Global Investment Performance Standards
Solutions
About the CFA Program

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