Fin422 Books
Managing investment portfolios, 3rd edition
Author: John Maginn, Donald Tuttle, Dennis McLeavey, Jerald Pinto
School: University of Ilorin
Department: Administration, Social and Management science
Course Code: FIN422
Topics: investment portfolio management, investment management, Portfolio Management, investment, investment constraints, Investment Policy Statement, asset allocation, pension funds, insurance, Institutional Investors, capital market expectations, economic analysis, business cycle analysis, economic growth trends, exogenous trends, economic forecasting, Monte Carlo Simulation, asset management, liability management, currency risk management decisions, human capital, Strategic Asset Allocation, Fixed-Income Portfolio Management, International Bond Investing, currency risk, breakeven spread analysis, Equity Portfolio Management, Passive Equity Investing, Equity Indices, equity investing, Alternative Investments Portfolio Management, real estate, private equity, venture capital, commodity investments, hedge funds, managed futures, distressed securities, Risk Management, risk, market risk, measuring risk, managing risk, Portfolio Performance evaluation, performance management, Global Investment Performance Standards
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