Investment Management: Portfolio Diversification, Risk, And Timingfact And Fiction-used

Investment Management: Portfolio Diversification, Risk, And Timingfact And Fiction-used

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A New Look At The Important Issue Of Investment Management In The 21St Centurywritten For Professional And Private Investorsas Well As Fiduciaries Who Rely On Investment Professionalsthis Book Presents The Content Of An Advanced Investmentmanagement Course In An Easytoread, Questionandanswer Format.Robert L. Hagin (Haverford, Pa) Is A 30Year Investment Management Veteran Who Recently Retired As Executive Director For Morgan Stanley Investment Management.

⚠️ WARNING (California Proposition 65):

This product may contain chemicals known to the State of California to cause cancer, birth defects, or other reproductive harm.

For more information, please visit www.P65Warnings.ca.gov.

  • Q: What is the main focus of 'Investment Management: Portfolio Diversification, Risk, and Timing--Fact and Fiction'? A: The book provides an in-depth exploration of investment management, emphasizing portfolio diversification, risk assessment, and the timing of investments, all within a format that is accessible for both professional and private investors.
  • Q: Who is the author of this investment management book? A: The author is Robert L. Hagin, a seasoned investment management professional with over 30 years of experience, including serving as the Executive Director for Morgan Stanley Investment Management.
  • Q: What is the format of the book? A: The book is structured in a question-and-answer format, making it easier for readers to grasp complex investment concepts and strategies.
  • Q: How many pages does the book contain? A: The book has a total of 304 pages.
  • Q: What is the binding type of this book? A: This book is available in hardcover binding, ensuring durability and a professional appearance.
  • Q: What condition is the book available in? A: The book is in new condition, guaranteeing that it is unused and in pristine condition.
  • Q: When was the book published? A: The book was published on December 18, 2003.
  • Q: Is there a return policy for this book? A: Yes, there is a 'no quibbles' return policy, allowing customers to return the book if they are not satisfied.
  • Q: What are the key features of this book? A: Key features include being in mint condition, same-day dispatch for orders received before 12 noon, guaranteed packaging, and a straightforward return policy.
  • Q: Is this book suitable for beginners in investment management? A: While the book is designed for both professional and private investors, its question-and-answer format can also benefit beginners seeking to understand advanced investment concepts.

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