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Active portfolio management : a quantitative approach for providing superior returns and controlling risk / Richard C. Grinold, Ronald N. Kahn.
Table of contents Available online
View onlineLippincott Library HG4529.5 .G75 2000
Available
- Format:
- Book
- Author/Creator:
- Grinold, Richard C.
- Series:
- Irwin library of investment & finance
- [Irwin library of investment & finance]
- Language:
- English
- Subjects (All):
- Portfolio management--Mathematical models.
- Portfolio management.
- Physical Description:
- xv, 596 pages : illustrations ; 24 cm.
- Edition:
- Second edition.
- Place of Publication:
- New York : McGraw-Hill, [2000]
- Summary:
- Active Portfolio Management, 2nd edition -- written and revised by two of today's top investment theorists-outlines a highly rigorous approach for understanding and profiting from active investment. Featuring more than 100 pages of new material and research, it will instantly help professional investors transform market insights into profitable strategies, analyze and select superior money managers, evaluate investment performance, and more.
- Notes:
- Includes bibliographical references and index.
- Local Notes:
- Acquired for the Penn Libraries with assistance from the Edward Giera and Kimberly Hirschman Fund.
- ISBN:
- 0070248826
- 9780070248823
- OCLC:
- 40964868
- Publisher Number:
- 99957871260
- Online:
- Contributor biographical information
- Publisher description
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