Items related to Portfolios and Investments: Third Edition

Portfolios and Investments: Third Edition - Softcover

 
9783732253791: Portfolios and Investments: Third Edition
View all copies of this ISBN edition:
 
 
The book is concerned with the theory of portfolios, as well as with investing in assets and securities and offers a general introduction, rather than a toolbox for making money. It will help its readers to better understand investing. The book is structured in two parts. Part I introduces the student into fundamental principles of portfolio theory and investment analysis, such as the Markowitz portfolio selection approach, factor models, basic evaluation techniques and portfolio management. Part II extends the material to more advanced topics and focuses on inefficient markets, including topics including technical analysis and momentum effects, behavioural finance, bubbles and herding, portfolio management in inefficient markets and market microstructure. followed by an appendix consisting of primers to some econometric approaches.

"synopsis" may belong to another edition of this title.

About the Author:
Michael Frommel was born in 1970 in Rheydt, Germany. From 1990 to 1997 he studied mathematics and business administration at the RWTH Aachen. In 2003 he obtained a doctoral degree in economics at the Leibniz Universitat Hannover, Germany. In 2007 he joined the Department of Fincancial Economics at Ghent University, Belgium, as Professor of Finance. He is program director of the Master of Banking and Finance at Ghent University. Michael Frommel has worked as a visiting researcher at the Central Banks of Bulgaria, Hungary and Austria. His research focuses on international finance, the foreign exchange market and financial markets in transition economies. He is author of various books and articles in, inter alia, the Journal of International Money and Finance, the Journal of Comparative Economics, and the International Journal of Finance and Economics.

"About this title" may belong to another edition of this title.

  • PublisherBooks On Demand
  • Publication date2013
  • ISBN 10 3732253791
  • ISBN 13 9783732253791
  • BindingPaperback
  • Number of pages536

Top Search Results from the AbeBooks Marketplace

Seller Image

Fr�mmel, Michael
Published by Books on Demand 9/27/2013 (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New Paperback or Softback Quantity: 5
Seller:
BargainBookStores
(Grand Rapids, MI, U.S.A.)

Book Description Paperback or Softback. Condition: New. Portfolios and Investments: Third Edition 2.09. Book. Seller Inventory # BBS-9783732253791

More information about this seller | Contact seller

Buy New
£ 50.75
Convert currency

Add to Basket

Shipping: FREE
Within U.S.A.
Destination, rates & speeds
Stock Image

Frömmel, Michael
Published by Books on Demand (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New Softcover Quantity: > 20
Seller:
Lucky's Textbooks
(Dallas, TX, U.S.A.)

Book Description Condition: New. Seller Inventory # ABLING22Oct2817100478515

More information about this seller | Contact seller

Buy New
£ 47.96
Convert currency

Add to Basket

Shipping: £ 3.19
Within U.S.A.
Destination, rates & speeds
Seller Image

Michael Frömmel
Published by Books On Demand Sep 2013 (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New Taschenbuch Quantity: 2
Print on Demand
Seller:
BuchWeltWeit Ludwig Meier e.K.
(Bergisch Gladbach, Germany)

Book Description Taschenbuch. Condition: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -The book is concerned with the theory of portfolios, as well as with investing in assets and securities and offers a general introduction, rather than a toolbox for making money. It will help its readers to better understand investing. The book is structured in two parts.Part I introduces the student into fundamental principles of portfolio theory and investment analysis, such as the Markowitz portfolio selection approach, factor models, basic evaluation techniques and portfolio management.Part II extends the material to more advanced topics and focuses on inefficient markets, including topics including technical analysis and momentum effects, behavioural finance, bubbles and herding, portfolio management in inefficient markets and market microstructure. followed by an appendix consisting of primers to some econometric approaches. 536 pp. Englisch. Seller Inventory # 9783732253791

More information about this seller | Contact seller

Buy New
£ 42.27
Convert currency

Add to Basket

Shipping: £ 19.69
From Germany to U.S.A.
Destination, rates & speeds
Stock Image

Michael Frà mmel
Published by Books On Demand (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New Softcover Quantity: > 20
Print on Demand
Seller:
Ria Christie Collections
(Uxbridge, United Kingdom)

Book Description Condition: New. PRINT ON DEMAND Book; New; Fast Shipping from the UK. No. book. Seller Inventory # ria9783732253791_lsuk

More information about this seller | Contact seller

Buy New
£ 54.24
Convert currency

Add to Basket

Shipping: £ 9.98
From United Kingdom to U.S.A.
Destination, rates & speeds
Stock Image

Frommel, Michael
Published by Books On Demand 2013-09 (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New PF Quantity: 10
Seller:
Chiron Media
(Wallingford, United Kingdom)

Book Description PF. Condition: New. Seller Inventory # 6666-IUK-9783732253791

More information about this seller | Contact seller

Buy New
£ 49.75
Convert currency

Add to Basket

Shipping: £ 14.99
From United Kingdom to U.S.A.
Destination, rates & speeds
Seller Image

Michael Frömmel
Published by Books On Demand (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New Taschenbuch Quantity: 1
Seller:
AHA-BUCH GmbH
(Einbeck, Germany)

Book Description Taschenbuch. Condition: Neu. Druck auf Anfrage Neuware - Printed after ordering - The book is concerned with the theory of portfolios, as well as with investing in assets and securities and offers a general introduction, rather than a toolbox for making money. It will help its readers to better understand investing. The book is structured in two parts.Part I introduces the student into fundamental principles of portfolio theory and investment analysis, such as the Markowitz portfolio selection approach, factor models, basic evaluation techniques and portfolio management.Part II extends the material to more advanced topics and focuses on inefficient markets, including topics including technical analysis and momentum effects, behavioural finance, bubbles and herding, portfolio management in inefficient markets and market microstructure. followed by an appendix consisting of primers to some econometric approaches. Seller Inventory # 9783732253791

More information about this seller | Contact seller

Buy New
£ 42.27
Convert currency

Add to Basket

Shipping: £ 28.24
From Germany to U.S.A.
Destination, rates & speeds
Stock Image

Frommel, Michael
Published by Books on Demand (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New PAP Quantity: > 20
Print on Demand
Seller:
PBShop.store US
(Wood Dale, IL, U.S.A.)

Book Description PAP. Condition: New. New Book. Shipped from UK. THIS BOOK IS PRINTED ON DEMAND. Established seller since 2000. Seller Inventory # L0-9783732253791

More information about this seller | Contact seller

Buy New
£ 72.68
Convert currency

Add to Basket

Shipping: FREE
Within U.S.A.
Destination, rates & speeds
Stock Image

Frommel, Michael
Published by Books on Demand (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New PAP Quantity: 15
Print on Demand
Seller:
PBShop.store UK
(Fairford, GLOS, United Kingdom)

Book Description PAP. Condition: New. New Book. Delivered from our UK warehouse in 4 to 14 business days. THIS BOOK IS PRINTED ON DEMAND. Established seller since 2000. Seller Inventory # IQ-9783732253791

More information about this seller | Contact seller

Buy New
£ 53.45
Convert currency

Add to Basket

Shipping: £ 25
From United Kingdom to U.S.A.
Destination, rates & speeds
Seller Image

Frömmel, Michael
Published by Books on Demand (2013)
ISBN 10: 3732253791 ISBN 13: 9783732253791
New Softcover Quantity: > 20
Print on Demand
Seller:
moluna
(Greven, Germany)

Book Description Condition: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. The book is concerned with the theory of portfolios, as well as with investing in assets and securities and offers a general introduction, rather than a toolbox for making money. It will help its readers to better understand investing. The book is structure. Seller Inventory # 5259927

More information about this seller | Contact seller

Buy New
£ 42.27
Convert currency

Add to Basket

Shipping: £ 41.93
From Germany to U.S.A.
Destination, rates & speeds