Financial Management Association Survey Asset Management: A Systematic Approach to Factor Investing, Hardcover
SCR 1956
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Factor risks must be the focus of our attention if we are to weather market turmoil and receive the rewards that come with doing so.
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What Stands Out
Product Details
| Book format | Hardcover |
| Fiction/nonfiction | Non-Fiction |
| Genre | Business & Investing |
| Publication date | August, 2014 |
| Pages | 720 |
| Reading level | Undergraduate |
| Subgenre | Investments & Securities |
| Series title | Financial Management Association Survey and Synthesis |
| Edition | 1 |
| Publisher | Oxford University Press |
| Original languages | English |
| Language | English |
| Is collectible | N |
| Illustrator | Jenny Williams, Judy Brown, Qu Lan |
| Editor | Kenneth Winters |
| Binding type | Case Binding |
| Recording time | 0 min |
| Retail packaging | Single Piece |
| Assembled product dimensions (l x w x h) | 6.20 x 1.70 x 9.30 in (15.7 x 4.3 x 23.6 cm) |
| Assembled product weight | 2.55 lb (1.16 kg) |
| Bisac subject heading | Business & Economics |
Who Should Buy?
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Academic Researchers
Academics studying asset management will benefit from comprehensive insights and systematic approaches to factor investing strategies.
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Professional Investors
Investment professionals looking for systematic frameworks to enhance portfolio performance through factor investing will find this book invaluable.
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Finance Students
Students pursuing finance or investment studies will gain essential knowledge and methodologies related to contemporary asset management practices.
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Casual Readers
Individuals seeking light reading or general finance information may find this academic-focused material too dense and complex.
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Novice Investors
New investors lacking foundational knowledge in finance may struggle to grasp advanced concepts presented in the book effectively.
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Short-Term Traders
Traders focused on short-term strategies may not align with the systematic, longer-term insights offered in this asset management guide.
Product Description
Financial Management Association Survey Asset Management: A Systematic Approach to Factor Investing, Hardcover
About This Item
Introducing the Financial Management Association Survey and Synthesis: Asset Management - A Systematic Approach to Factor Investing. This hardcover book, written by renowned author Andrew Ang, is a must-have for anyone interested in mastering the art of financial management. With its ISBN of 9780199959327 and published in 2014, this book offers valuable insights, strategies, and techniques in managing assets and factor investing.
Whether you are an experienced financial professional or just starting out in the industry, this book has something to offer. The Financial Management Association Survey and Synthesis: Asset Management covers a wide range of topics, including e-commerce financial management, e-commerce asset management, and e-commerce factor investing. It equips you with the knowledge and skills to navigate the complex world of financial management in the e-commerce space. Gain an in-depth understanding of financial management strategies as you dive into the chapters on asset management techniques and factor investing strategies. Discover the latest trends and best practices for financial management in the e-commerce industry, including tips for optimizing your financial performance. This book is not just another dry and technical read.
The author Andrew Ang has a knack for presenting complex concepts in a clear and engaging manner. You'll find yourself fully immersed in the content, applying the knowledge gained to real-world scenarios. Whether you're a seasoned professional looking to expand your expertise or an aspiring entrepreneur seeking to build a successful e-commerce business, the Financial Management Association Survey and Synthesis: Asset Management is the ultimate guide to achieving financial success. Don't miss out on this valuable resource that will transform the way you approach financial management. Add this hardcover book to your collection and unlock the secrets to effective asset management and factor investing in the e-commerce world.
Order your copy today and take your financial management skills to the next level.
Customer Questions & Answers
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Question:
Who is this book for?
Answer: Trustees, professional money managers, smart private investors, and business students. -
Question:
What is the main focus of the book?
Answer: The main focus of the book is on factor risks and how to efficiently harvest them in portfolios. -
Question:
What does the book aim to achieve?
Answer: The book aims to help readers understand the economics behind factor risk premiums and to embark on the search for true alpha.
Ann F Kaplan Professor of Business Andrew Ang All Books Editorial Review
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SCR 1956
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Ubuy works hard to protect your security and privacy. Our advanced payment security system ensures confidentiality by encrypting your information during transmission using AES (Advanced Encryption Standards) and SSL (Secure Socket Layer) protocols. Your payment details are 100% secure as we do not share your payment details with third party sellers.
Features & Benefits
- Comprehensive approach to asset management
- Focus on factor risks
- Indispensable reading for professionals and students
- Understand the economics behind factor risk premiums
- Efficiently harvest factor risk premiums in portfolios
- Search for true alpha