ENGLISH

Diversification and Portfolio Management of Mutual Funds (Finance and Capital Markets)

Book information

Publisher
Palgrave Macmillan
Year
2007
ISBN
0230019153, 9780230019157, 9780230626508
LCC
HG4530 .D575 2007
Open Library ID
OL10194189M
Language
english
Format
PDF
Filesize
2 MB (1730104 bytes)
Series
Finance and Capital Markets
Edition
First Edition
Pages
446\446
Topic
Business Management
Orientation
yes
Scanned
no
Time added
2010-08-30 15:18:36

Description

This significant new book addresses the important issue of diversification in an age where it is vital to reduce volatility on investments. Properly applied portfolio management can lead to greater gains. The expert authors guide investors through international portfolio diversification, make clear how to help improve the efficiency of their investments, and explain how international diversification reduces the risk of an investment portfolio. This key book educates investors about how international mutual finds enhance the performance of their portfolio. The authors analyze which factors are most essential to investors, and find that both financial factors and behavioural arguments must be considered. This book is a crucial tool for any investor looking to improve the profit gain from their investment.

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