Michael Frömmel Frömmel Finance 2: Asset Allocation and Market Efficiency

Finance 2: Asset Allocation and Market Efficiency

von Michael Frömmel

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Beschreibung

This books builds on 'Finance 1: Portfolio Theory and Management'. Both volumes are linked through the asset allocation process. While Finance 1 focused on portfolio theory and strategic asset allocation, Finance 2 deals with tactical asset allocation and market efficiency. We start by reviewing the asset allocation process, market timing and the approach by Black and Litterman. Section 2 deals with the predictability of prices, including technical analysis and momentum. Turning to factors that may cause the predictability - if there is any - we discuss models from behavioural finance. The subsequent section deals with bubbles and herd behaviour, before we finally cover market microstructure and its implications.

Autor*in

Michael Frömmel
Michael Frömmel is a Professor of Finance at Ghent University, Belgium, where he is the program director of the Master of Banking and Finance. He worked as a visiting researcher at several central banks and taught at universities in various countries in Europe and Asia. He is (co)author of several books and articles in, inter alia, the Journal of Finance, Journal of Financial Markets, the Journal of International Money and Finance, the International Review of Financial Analysis, and the Financial Analysts Journal.

Themen in »Finance 2: Asset Allocation and Market Efficiency«

Financial Markets Investments Asset Allocation Market Efficiency behavioral finance

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Details

ISBN: 9783743176805
Verlag: BoD – Books on Demand
Erscheinung: 06.03.2018

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