Title
Modern Portfolio Theory And Investment Analysis
Processing time: 1-3 days
US Orders Ships in: 3-5 days
International Orders Ships in: 8-12 days
Return Policy: 15-days return on defective items
An Excellent Resource For Investors, Modern Portfolio Theory And Investment Analysis, 9Th Edition Examines The Characteristics And Analysis Of Individual Securities As Well As The Theory And Practice Of Optimally Combining Securities Into Portfolios. A Chapter On Behavioral Finance Is Included, Aimed To Explore The Nature Of Individual Decision Making. A Chapter On Forecasting Expected Returns, A Key Input To Portfolio Management, Is Also Included. In Addition, Investors Will Find Material On Value At Risk And The Use Of Simulation To Enhance Their Understanding Of The Field.
⚠️ 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 page count of this book? A: The book has seven hundred fifty-two pages. This extensive content covers various aspects of modern portfolio theory and investment analysis.
- Q: What are the dimensions of this book? A: The book measures six point seven inches in length, one point two inches in width, and nine point nine inches in height. These dimensions make it a standard size for a paperback.
- Q: What type of binding does this book have? A: This book is available in paperback binding. Paperback editions are typically more flexible and lightweight than hardcover books.
- Q: Is this book suitable for beginners in investing? A: Yes, this book is suitable for beginners as well as advanced investors. It provides foundational knowledge and explores advanced concepts in investment analysis.
- Q: What topics are covered in this book? A: The book covers modern portfolio theory, behavioral finance, and forecasting expected returns. It also discusses risk management strategies like value at risk.
- Q: Who is the author of this book? A: The author of this book is Edwin J. Elton. He is well-known for his contributions to the field of finance and investment analysis.
- Q: How should I store this book to keep it in good condition? A: Store the book in a cool, dry place, away from direct sunlight. This helps prevent fading and damage to the paper.
- Q: Can I clean this book if it gets dirty? A: Yes, you can gently wipe the cover with a soft, dry cloth. Avoid using water or cleaning agents to prevent damage.
- Q: What if the book arrives damaged? A: If the book arrives damaged, you should contact the seller for a return or replacement. Most sellers have policies for addressing such issues.
- Q: Is there a warranty on this book? A: No, there is typically no warranty on books. However, return policies may allow for exchanges or refunds.
- Q: Does this book include any exercises or case studies? A: Yes, the book includes exercises and case studies to help reinforce key concepts. These practical applications enhance understanding of investment strategies.
- Q: Is the content of this book current and relevant? A: Yes, the ninth edition is updated to reflect current trends and practices in investment analysis. It includes recent developments in finance.
- Q: What is the primary audience for this book? A: The primary audience includes investors, finance students, and professionals in the investment industry. It caters to various levels of expertise.
- Q: Are there any prerequisites for understanding this book? A: No formal prerequisites are required, but a basic understanding of finance concepts will enhance comprehension of the material.
- Q: Does this book discuss behavioral finance? A: Yes, it includes a chapter dedicated to behavioral finance, exploring how psychological factors influence investment decisions.