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About this product
Product Information
This succinct guide introduces the reader to the asset management industry and gives an insight into the real-life environment in which fund managers work. The theories of diversification, managing of risks and immunizing portfolios against interest rate changes are here related to the practices of real asset management firms and the many constraints under which they work. The book also sets out some rules of best practice for asset managers. As such, it represents a comprehensive introduction to the real workings of equity, bond and other asset management.