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00462nam ac200181 k 4500
000003588673
20220101120000
ta
010731s1996 US 000 eng
▼a 156720032X
▼a 211070
▼c 211070
▼l WM0003030200
▼a HG4521
▼a HG4521
▼b M274
▼a GLOBAL PORTFOLIO MANAGEMENT FOR INSTITUTIONAL INVESTORS/
▼d MADURA,JEFF
▼a WESTPORT:
▼b QUORUM,
▼c 1996.
▼a 172p.
▼a MADURA,JEFF
▼a 단행본
| 자료유형 : | 단행본 |
|---|---|
| ISBN : | 156720032X |
| 분류기호 : | HG4521 |
| 서명/저자사항 : | GLOBAL PORTFOLIO MANAGEMENT FOR INSTITUTIONAL INVESTORS/ MADURA,JEFF |
| 발행사항 : | WESTPORT: QUORUM, 1996. |
| 형태사항 : | 172p. |
| 개인저자 : | MADURA,JEFF |
| 언어 | 영어 |
WMO199929870
권 호 : 172
발행년 : 1996
서 명 : GLOBAL PORTFOLIO MANAGEMENT FOR INSTITUTIONAL INVESTORS
발행처 : MADURA,JEFF
목차
1. MEASURING THE RETURN AND RISK FROM INTERNATIONAL INVESTING
2. METHODS FOR INVESTING IN FOREIGN STOCKS
3. VALUATION OF FOREIGN STOCKS
4. HEDGING MARKET RISK
5. EXCHANGE RATE MOVEMENTS
6. HEDGING EXCHANGE RATE RISK
7. DYNAMIC ASSET ALLOCATION
8. GROWTH OF EMERGING MARKETS
9. PERFORMANCE EVALUATION
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