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E-Books : Portfolio Theory and Performance Analysis
    Author: ompeompe   |   7 December 2008   |   comments: 1
Portfolio Theory and Performance Analysis

For many years asset management was considered to be a marginal activity, but today, it is central to the development of financial industry throughout the world. Asset management's transition from an "art and craft" to an industry has inevitably called integrated business models into question, favouring specialisation strategies based on cost optimisation and learning curve objectives.

This book connects each of these major categories of techniques and practices to the unifying and seminal conceptual developments of modern portfolio theory.

In these bear market times, performance evaluation of portfolio managers is of central focus. This book will be one of very few on the market and is by a respected member of the profession.
* Allows the professionals, whether managers or investors, to take a step back and clearly separate true innovations from mere improvements to well-known, existing techniques
* Puts into context the importance of innovations with regard to the fundamental portfolio management questions, which are the evolution of the investment management process, risk analysis and performance measurement
* Takes the explicit or implicit assumptions contained in the promoted tools into account and, by so doing, evaluate the inherent interpretative or practical limits

This book is a most extensive and remarkable synthesis of the contribution of best-known academics in finance to modern portfolio and market efficiencies theories. Indeed, a valuable hindsight and updating of the evolutionary perspective of portfolio management, investment process and performance analysis on multistyles and multiclasses assets.

A wonderful step forward in portfolio management texts! The book is a “soup-to-nuts” feast covering almost all aspects of portfolio management. It takes readers from the basic conceptual underpinnings through important issues such as VaR, extreme value distribution. It covers both equities and fixed income. The material is well laid out, up-to-date, and strikes a welcome balance between presenting the academic background for topics and providing a good feel for current industry practice.

The contribution of Prof. Amenc and V. Le Sourd will undoubtedly enable practitioners and other investors alike to better apprehend the tools and techniques available to them, as well as their relevance, in making informed investment decisions in today’s increasingly turbulent and complex financial markets.

Here is a very readable and comprehensive book, produced by practitioner/academics Amenc and Le Sourd (Misys Asset Management Systems/Edhec). It is well suited as an MBA level investments course text, and the material is presented in a very accessible fashion for the practitioner.

Measuring the performance of portfolio managers is a challenging task, because performance must be evaluated in a risk-adjusted sense. In this book, Nöel Amenc and Véronique Le Sourd provide the reader with an insightful account of how modern portfolio theory can be used to achieve relevant risk-adjusted performance evaluation. The authors have managed to compile a very comprehensive and structured overview of the set of statistical techniques used to distinguish systematic performance effects from pure chance and to account for the risks taken to earn them. This book is likely to become the reference work in portfolio performance evaluation.

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  •  (Votes #: 2)
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      #1 Author: abd123
    8 December 2008 20:50 | ICQ: -- |




    Join Date: 15.05.2008
    thank you very much indeede
    News: 0 | Comments: 19        
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