Yong-Shik Lee
Cao Wenxuan
A family saga spanning fifty years and three generations, which takes the reader from the france of the golden age to poverty-stricken post-war shanghai via the re-imagined rural china of the cultural revolution.
Editors Of Proceedings Arianna Cao
Yong Hui McDonald
Yong Li
Dal Yong Jin
Wenping Cao
Theresa Yong
Jonathan Yong
Han-Yong Jeon
Cao Wenxuan
A family saga spanning fifty years and three generations, which takes the reader from the france of the golden age to poverty-stricken post-war shanghai via the re-imagined rural china of the cultural revolution.
Yong-Ku Kim
Tae-Yong Chong
Yong Deng
Theresa Yong
Cao, W. E. I., Sr.
Hwang Sok-yong
Yong Deng
Yong Kang Eugene Tay
Weijia Cao
Mok Sin Yong
Yong Kang Chan
Yong-Mi Yi
Yong Li
Yong Bai
Yong-Mi Yi
Yong-Shik Lee
Yong Bai
Yong Hui McDonald
Cao Xiaoping
Bin Cao
Wenping Cao
Jin Cao
Yong-jun Gao
Jin Cao
Yee Yong Lee
Yong Chen
"this book offers students an accessible and applied introduction to microeconomics in tourism and hospitality through a comprehensive analysis of the market mechanism, demand and supply, firm behavior and strategy, and transaction and institution.
Mark Sebastian
Fatima Zohra Lebbah
Scott D. Stewart
A career's worth of portfolio management knowledge in one thorough, efficient guideportfolio management is an authoritative guide for those who wish to manage money professionally.
Reinhard Wagner
Olivier Lazar
Regenstein, Jr., Jonathan K.
Reproducible finance with r: code flows and shiny apps for portfolio analysis is a unique introduction to data science for investment management that explores the three major r/finance coding paradigms, emphasizes data visualization, and explains.
John C. Bogle
John C. Bogle
Gökhan Kula
François-Serge Lhabitant
Portfolio diversification provides an update on the practice of combining several risky investments in a portfolio with the goal of reducing the portfolio's overall risk.
Gökhan Kula
G. A. Vijayalakshmi Pai
The book is a monograph in the cross disciplinary area of computational intelligence in finance and elucidates a collection of practical and strategic portfolio optimization models in finance, that employ metaheuristics for their effective solutions and d.
Martin Raab
Mark P. Kritzman
Adam Butler
Build an agile, responsive portfolio with a new approach to global asset allocation adaptive asset allocation is a no-nonsense how-to guide for dynamic portfolio management.
Antonio Daniel Silva
This work presents a new approach to portfolio composition in the stock market.
Frank J. Fabozzi
A detailed, multi-disciplinary approach to investment analytics "portfolio construction and analytics "provides an up-to-date understanding of the analytic investment process for students and professionals alike.
CAIA Association
Caia association has developed two examinations that are used to certify chartered alternative investment analysts.
Bruce I. Jacobs
Guerard, John B., Jr.
Cheryl L. Hines
Shows you how to construct a portfolio that performs regardless of what happens in the market.
Frank J. Fabozzi
A detailed, multi-disciplinary approach to investment analytics "portfolio construction and analytics "provides an up-to-date understanding of the analytic investment process for students and professionals alike.
Pranay Gupta
Project Management Institute
Zhongfeng Qin
Martin Hoesli
Scott Kays
An in-depth look at strategies and techniques of five of the country's best money managers in five key lessons from top money managers, scott kays taps into the investment knowledge of five of the nation's foremost money managers-bill nygren, andy.
Florian Auinger
Inc Kaplan
James Fairfield Sonn
Simon A. Lack
Recognize wall street tactics for what they are, and make smarter decisions with your money wall street potholes shares insights into the money management industry, revealing the shady practices that benefit the salesman far more than the cl.
Wiley
Final review guide for level i cfa exam"wiley 11th hour guide for 2015 level 1 cfa exam" compacts all sixty readings tested on the 2015 cfa exam into one portable volume.
Ekkehard Kopp
Charles Widger
In personal benchmark: integrating behavioral finance and investment management, chuck widger and dr.
Robert A. Weigand
An informative guide to applied equity analysis and portfolio management from asset allocation to selecting investments in a global market, applied equity analysis and portfolio management offers readers a solid foundation in the field of fi.
David Starer
Inc Kaplan
David M. Darst
New research and investment strategies for asset managers in managed futures in this handy new e-book, bestselling author david m.
Thomas Meyer
Arms investors with powerful new tools for measuring and managing the risks associated with the various illiquid asset classes with risk-free interest rates and risk premiums at record lows, many investors are turning to illiquid assets, such as re.
Thomas Meyer
Arms investors with powerful new tools for measuring and managing the risks associated with the various illiquid asset classes with risk-free interest rates and risk premiums at record lows, many investors are turning to illiquid assets, such as re.
Inc Kaplan
David M. Darst
New research and investment strategies for asset managers in precious metals in this handy new e-book, bestselling author david m.
David M. Darst
Essential research on the chinese economy for investors and asset managersin this handy new e-book, bestselling author david m.
David M. Darst
New research and investment strategies for asset managers in managed futures in this handy new e-book, bestselling author david m.
David M. Darst
New research and investment strategies for asset managers in precious metals in this handy new e-book, bestselling author david m.
Timothy J. McIntosh
CAIA Association
David M. Darst
Carter, John F.
Robert A. G. Monks
Corporate valuation for portfolio investment"the valuation of securities .
Scott Dudley Stewart
Running money: professional portfolio management 1e focuses on the business investment decision-making from the perspective of the portfolio manager.
Laurence B. Siegel
Through a series of articles spanning over 15 years of research, paul d.
Malcolm Kemp
Taking due account of extreme events when constructing portfolios of assets or liabilities is a key discipline for market professionals.
Oleg V. Bychuk
Identify and understand the risks facing your portfolio, how to quantify them, and the best tools to hedge themthis book scrutinizes the various risks confronting a portfolio, equips the reader with the tools necessary to identify and understand these ris.
Robert A. G. Monks
Corporate valuation for portfolio investment"the valuation of securities .