Volume 2 of the Handbook of Finance contains a compilation of finance topics including timeless and timely research, analysis, and developments. Edited by Frank Fabozzi, the Handbook discusses investments, derivatives, modeling and valuation and includes experts in the field offering information on risk and financial management as well as portfolio management, and much more.
Book Details:
- Author: Frank J. Fabozzi
- ISBN: 9780470078150
- Year Published: 2008
- Pages: 996
- BISAC: BUS027000, BUSINESS & ECONOMICS/Finance
About the Book and Topic:
Volume 2 of the Handbook of Finance contains a compilation of finance topics including timeless and timely research, analysis, and developments. Edited by Frank Fabozzi, the Handbook discusses investments, derivatives, modeling and valuation and includes experts in the field offering information on risk and financial management as well as portfolio management, and much more.
The Handbook is a major reference work covering all topics in finance for both academics and professionals in the finance world.
THIS VOLUME IS PART OF A COMPREHENSIVE COMPILATION OF ALL THINGS FINANCE IN ONE CONVENIENT SET: Volume 2 of the Handbook of Finance covers a host of topics on investment and financial management including monetary policy, risk budgeting, investment objectives, allocation models, equity, fixed income, and hedge fund and real estate strategies, investment decisions, capital management, and much more.
About the Author
Dr. Frank J. Fabozzi, PhD, CFA (New Hope, PA) is Professor in the Practice of Finance at Yale Universitys School of Management and the Editor of the Journal of Portfolio Management. (Possible co-editor(s) for individual volumes still to be determined.)