Kod: 07181011
Provides an overview of analytical techniques used to evaluate portfolios, such as the excess return above (or below) the benchmark. A proper attribution tells us what caused the excess return, or where value was added or subtract ... więcej
52.27 €
Zwykle: 61.50 €
Oszczędzasz 9.23 €
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Provides an overview of analytical techniques used to evaluate portfolios, such as the excess return above (or below) the benchmark. A proper attribution tells us what caused the excess return, or where value was added or subtracted as a result of a manager's decisions. This book guides the reader in choosing an appropriate attribution model.
Kategoria Książki po angielsku Economics, finance, business & management Business & management
52.27 €
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