Pearson Education Home Higher Education HomeInstructor SupportStudent SupportAbout UsCareers
Bookshop
Texts & Technology
ABOUT THIS PRODUCT
Description
Table of Contents
Features
Appropriate Courses
 
RESOURCES
First Day of Class
 
RELATED TITLES
Portfolio Analysis (Finance)
Graduate Investments (Finance)
Undergraduate Investments (Finance)
Quantitative Analysis for Investment Management
0133196909

Robert A. Taggart, Boston College

Publisher: Prentice Hall
Copyright: 1996
Format: Paper; 306 pp

ISBN-10: 0133196909
ISBN-13:9780133196900Help icon

Our Price: £39.99
This title is ordered on demand which may result in extended delivery times.

This title is not for sale to the US or Canada.
Add this item to my shopping basket

What is Available on Demand?
Available On Demand

Add to Exam Copy BookbagAdd to Exam Copy Bookbag PrintPrint Product Information

Description

Appropriate for intermediate undergraduate or graduate-level courses in Investments, Investment Management, Security Analysis. It is also suitable as a supplement for such courses as Money and Capital Markets, Fixed Income Securities, Derivative Securities and Portfolio Management.

The purpose of the book is to provide a concise overview of the quantitative tools and models that have been most widely used in investment management. It is the premise of the book that many of the most popular quantitative techniques have certain elements in common, and that if these elements can be understood, the reader can gain a working understanding of a wider variety of complex securities and portfolio management techniques.

 
Pearson Education Home