Applied Fundamentals in Finance : Portfolio Management and Investments by Enzo Mondello (2023, Hardcover)
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To ensure its high practical relevance, the book includes a host of case studies and examples from real-world practice, mainly from the German and Swiss financial markets.
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About this product
Product Identifiers
PublisherSpringer Fachmedien Wiesbaden Gmbh
ISBN-103658410205
ISBN-139783658410209
eBay Product ID (ePID)9059113698
Product Key Features
Original LanguageGerman
Book TitleApplied Fundamentals in Finance : Portfolio Management and Investments
Number of PagesXxi, 590 Pages
LanguageEnglish
Publication Year2023
TopicFinance / Financial Risk Management, Finance / General, Corporate Finance / General
IllustratorYes
GenreBusiness & Economics
AuthorEnzo Mondello
Book SeriesSpringer Texts in Business and Economics Ser.
FormatHardcover
Dimensions
Item Weight37.9 Oz
Item Length9.3 in
Item Width6.1 in
Additional Product Features
Dewey Edition23
Number of Volumes1 vol.
Dewey Decimal332.6
Table Of ContentPart 1: Portfolio Management.- Chapter 1. Return.- Chapter 2. Risk.- Chapter 3. Other Investment Characteristics.- Chapter 4. Efficient Risky Portfolios.- Chapter 5. Optimal Portfolio.- Chapter 6 Capital Asset Pricing Model and Fama−french Model.- Chapter 7. Portfolio Management Process.- Part 2: Equity Securities.- Chapter 8 Dividend Discount Model.- Chapter 9 Free Cash Flow Models.- Chapter 10 Multiples.- Part 3: Bonds.- Chapter 11 Bond Price and Yield.- Chapter 12 Duration and Convexity.- Part 4: Derivatives.- Chapter 13 Futures, Forwards, and Swaps.- Chapter 14 Options: Basics and Valuation.- Chapter 15 Option Strategies.
SynopsisThis textbook provides a comprehensive introduction to portfolio management and investments. Focusing on four core areas - portfolio management, equities, bonds, and derivatives - it is primarily intended for undergraduate and graduate students alike. However, it will also benefit practitioners working in the fields of financial analysis and portfolio management and professionals who aspire to such professional activities in the financial industry. To ensure its high practical relevance, the book includes a host of case studies and examples from real-world practice, mainly from the German and Swiss financial markets. Additionally, the book shows how to implement the models in Microsoft Excel.