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Harry M. Markowitz Risk-Return Analysis Volume 3

Harry M. Markowitz Risk-Return Analysis Volume 3

( 468 reviews ) See Reviews (1Outlets)

In stock *In Stock - Subject to stock availability at point of fulfilment. In the event whereby the item is out of stock or unable to provide the service, 1Outlets will cancel the order and issue a Full refund in-store credit to you. SKU : 2076487648971e57e3e6f720a74bad2c

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Details

Unlocking Investment Wisdom with ****

Harry M. Markowitz Risk-Return Analysis Volume 3 delves into the intricate world of financial analysis offering profound insight into the dynamic interplay of risk and return. This comprehensive investment guide unveils the secrets to maximizing your portfolio performance. It’s a captivating journey, empowering readers to navigate the complexities of investment strategies and confidently build a brighter financial future.

Main Features

  • Rigorous analysis: Employing a methodical and deep-dive approach to understand investment decision-making.
  • Practical application: Providing actionable strategies for enhancing portfolio return and mitigating risk.
  • In-depth examples: Illustrating real-world scenarios and guiding readers toward effective implementation.
  • Expert perspective: Drawing from Harry M. Markowitz's renowned expertise in portfolio theory.
  • Clear explanations: Ensuring that readers with varied backgrounds can grasp the intricate concepts.

Benefits

  • Enhanced investment acumen: Gain a sharper understanding of risk-return dynamics, bolstering your knowledge and confidence.
  • Improved portfolio management: Develop strategic approaches to maximize your investment returns, generating substantial value over time.
  • Reduced investment risk: Understanding the principles behind mitigating losses and generating safe, sound investments.
  • Increased profitability: Unlocking the potential to achieve higher returns while remaining within acceptable risk.
  • Confidence building: Gain a comprehensive insight that empowers you to make informed investment decisions.

Unique Selling Points / Competitive Advantages

  • Authoritative voice: Drawing on the legendary insights from the father of modern portfolio theory.
  • Comprehensive approach: Providing a complete analysis of risk and return from an established financial professional’s perspective.
  • Actionable strategies: Offering practical steps to enhance investment returns and ensure financial prosperity.
  • Clear and concise presentation: Ensuring that complex topics are easily understood.
  • Long-term relevance: This work contains principles that will stay relevant as the financial landscape transforms.

Usage Scenarios

  • Students of finance: Learning the principles of investment management.
  • Investment professionals: Deepening their understanding of risk management and portfolio optimization.
  • Individual investors: Improving their knowledge of investment strategy and taking control of their financial future.
  • Businesses seeking portfolio advice: Utilizing financial principles to create strategic and effective investment plans.
  • Financial advisors: Providing comprehensive understanding to give detailed investment advice to clients.

Customer Reviews / Testimonials

  • Maria Hernandez, USA, 2023: This book was exactly what I needed to understand investments. It's a masterpiece!
  • Takashi Tanaka, Japan, 2022: The book presented complex concepts in a clear and understandable manner. It’s a true investment guide.
  • Aisha Khan, UK, 2024: I have a deeper understanding of portfolio theory thanks to Harry M. Markowitz Risk-Return Analysis Volume 3. A must-read for any investor!

Frequently Asked Questions

  • Q: Is this suitable for beginners in the field of finance? A: Yes, the explanations are clear and comprehensive, making it easily accessible to beginners and experts.
  • Q: Does it include current market analysis? A: While the core principles apply to all market conditions, it doesn't include day-to-day fluctuations or real-time market predictions.
  • Q: What is the focus of Harry M. Markowitz Risk-Return Analysis Volume 3? A: The book focuses on the interaction between risk and return within investment portfolios, and establishing strategies for financial success.
  • Q: How can I use this book to improve my investment decisions? A: The book offers guidance on establishing strategies and investment principles to enhance your decision-making process.
  • Q: How long will this book stay current in the financial industry? A: The principles of risk and return are fundamental to investment theory and likely to remain relevant for a long time to come.

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Invest in your future with 's Harry M. Markowitz Risk-Return Analysis Volume 3 and elevate your investment portfolio.

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Specification
Category: Books > Business & Money > Finance
Weight: 0.5579186151000001kgs
Language: English
ISBN-13: 978-0071818315
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