Practical portfolio performance measurement and attribution
tarafından
 
Bacon, Carl R., author.

Başlık
Practical portfolio performance measurement and attribution

Yazar
Bacon, Carl R., author.

ISBN
9781119831976
 
9781119831969
 
9781119831952

Basım Bilgisi
Third edition.

Fiziksel Tanımlama
1 online resource

Seri
Wiley finance

İçerik
Front Matter -- Introduction -- The Asset Management Industry -- The Mathematics of Portfolio Return -- Benchmarks -- Risk -- Return Attribution -- Performance Presentation Standards -- Bringing It All Together -- Glossary of Key Terms -- Simple Attribution -- Multi-Currency Attribution Methodology -- Bibliography -- About the Author -- Index

Özet
"Performance measurement and attribution are key tools in informing investment decisions and strategies. Performance measurement is the quality control of the investment decision process, enabling money managers to calculate return, understand the behavior of a portfolio of assets, communicate with clients and determine how performance can be improved. The process of adding value via benchmarking, asset allocation, security analysis, portfolio construction, and executing transactions is collectively described as the investment decision process. There are many stakeholders in the investment decision process; this book focuses on the investors or owners of capital and the firms managing their assets (asset managers or individual portfolio managers)"-- Provided by publisher.

Notlar
John Wiley and Sons

Konu Terimleri
Investment analysis.
 
Portfolio management.
 
Business enterprises -- Finance.
 
Corporations -- Finance.
 
Analyse financière.
 
Gestion de portefeuille.
 
Business enterprises -- Finance
 
Corporations -- Finance
 
Investment analysis
 
Portfolio management

Tüzel Kişi Ek Girişi
John Wiley & Sons,

Elektronik Erişim
https://onlinelibrary.wiley.com/doi/book/10.1002/9781119831976


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