
Title

Asset Management: A Systematic Approach To Factor Investing (Financial Management Association Survey And Synthesis)
Delivery time: 8-12 business days (International)
In Asset Management: A Systematic Approach To Factor Investing, Professor Andrew Ang Presents A Comprehensive, New Approach To The Ageold Problem Of Where To Put Your Money. Years Of Experience As A Finance Professor And A Consultant Have Led Him To See That What Matters Aren'T Asset Class Labels, But Instead The Bundles Of Overlapping Risks They Represent. 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.Clearly Written Yet Full Of The Latest Research And Data, Asset Management Is Indispensable Reading For Trustees, Professional Money Managers, Smart Private Investors, And Business Students Who Want To Understand The Economics Behind Factor Risk Premiums, To Harvest Them Efficiently In Their Portfolios, And To Embark On The Search For True Alpha.
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Shipping & Returns
Shipping
We ship your order within 2–3 business days for USA deliveries and 5–8 business days for international shipments. Once your package has been dispatched from our warehouse, you'll receive an email confirmation with a tracking number, allowing you to track the status of your delivery.
Returns
To facilitate a smooth return process, a Return Authorization (RA) Number is required for all returns. Returns without a valid RA number will be declined and may incur additional fees. You can request an RA number within 15 days of the original delivery date. For more details, please refer to our Return & Refund Policy page.
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This warranty strictly does not cover damages that arose from negligence, misuse, wear and tear, or not in accordance with product instructions (dropping the product, etc.).
Warranty
We provide a 2-year limited warranty, from the date of purchase for all our products.
If you believe you have received a defective product, or are experiencing any problems with your product, please contact us.
This warranty strictly does not cover damages that arose from negligence, misuse, wear and tear, or not in accordance with product instructions (dropping the product, etc.).
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Your payment information is processed securely. We do not store credit card details nor have access to your credit card information.
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Frequently Asked Questions
- Q: What is the main focus of 'Asset Management: A Systematic Approach to Factor Investing'? A: The book focuses on the importance of understanding factor risks in asset management, rather than just asset class labels, to effectively manage investments and navigate market volatility.
- Q: Who is the author of this book? A: The author is Professor Andrew Ang, a finance professor with extensive experience in asset management and consulting.
- Q: What can readers expect to learn from this book? A: Readers will learn about the economics behind factor risk premiums, how to efficiently harvest them in portfolios, and strategies for seeking true alpha in investments.
- Q: What is the publication date of this book? A: The book was published on August 6, 2014.
- Q: What type of binding does this book have? A: This book is available in hardcover binding.
- Q: How many pages is the book? A: The book contains 720 pages.
- Q: Is this book suitable for professional money managers? A: Yes, the book is designed for trustees, professional money managers, private investors, and business students, making it suitable for anyone interested in asset management.
- Q: What edition of the book is available? A: The available edition is the first edition.
- Q: What is the condition of the book being sold? A: The book is in new condition.
- Q: Does this book include recent research and data? A: Yes, the book is clearly written and includes the latest research and data on factor investing.