Mutual Funds: Risk and Performance Analysis for Decision Making

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9780631215615: Mutual Funds: Risk and Performance Analysis for Decision Making

Book by John A Haslem

Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.

Revue de presse :

′This marvelous compendium of mutual fund information is an answer to the prayers of investors who want to dig beneath the superficial to reach the fundamental. Dr. Haslem′s book is more than a textbook. It is perhaps the first substantive attempt to evaluate mutual funds from an academic and historic perspective. I commend it highly to the serious investor.′ John C. Bogle, Founder and Former CEO, The Vanguard Group

Like a master anthologist, Professor Haslem has collected the best ideas of the past twenty years on how to select and evaluate mutual funds, and he′s assembled them into a cohesive, highly readable work. If you′re seeking order out of the chaos of competing lists of 10 Funds to Buy Now, then this is the book for you. Don Phillips, Managing Director, Morningstar, Inc.

′I am confident that Haslem will be recognized as having written the definitive book on mutual funds bar none. I have seen most of the books in this area, and nothing comes close to the coverage. I will recommend the book to anyone who has an interest in this area, and certainly to anyone needing something to use for instructional purposes.′ Charles Jones, North Carolina State University

′This masterfully written book is a must read for those who want to make informed decisions about mutual funds. Jack Haslem′s definitive treatment of the subject sets a new standard for excellence. His clarity of style and solidity of research result in fascinating reading.′ H. Kent Baker, American University

′Haslem′s realistic, thoroughly researched perspective on mutual funds is must reading for both investors and fund managers. This is one those solid books that results from a strong academic background in investments and a balanced view of the financial markets.′ Bob Edmister, University of Mississippi

′Professor John Haslem has written a very thorough and detailed book on mutual funds. This book will be very useful as a text for a course on mutual funds, a supplementary text for a standard investment course, and a must reading for anyone aspiring to be a certified financial planner.′ Robert Krainer, University of Wisconsin

Quatrième de couverture :

This authoritative book enables readers to evaluate the various performance and risk attributes of mutual funds, while also serving as a comprehensive reference for students, academics, and general investors alike. Providing a balance of theory and application, the chapters combine clear summaries of existing research with practical guidelines for mutual fund analysis.


The chapters cover a broad range of topics, including understanding the advantages and disadvantages of mutual funds and long and short–term investing, evaluating stock/bond allocations within fund portfolios, assessing fund diversification risk, measuring fund returns and risk, and making fund buy/sell decisions. Throughout the text, step–by–step decision checklists guide readers in the analysis and selection of various mutual funds. Treating all the major theoretical issues in mutual fund analysis and portfolio management, this book is both a thorough resource and a practical guide.

Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.

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John A. Haslem
Edité par Wiley-Blackwell (2003)
ISBN 10 : 0631215611 ISBN 13 : 9780631215615
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Description du livre Wiley-Blackwell, 2003. Hardcover. État : New. N° de réf. du libraire SONG0631215611

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John A. Haslem
Edité par John Wiley and Sons Ltd, United Kingdom (2003)
ISBN 10 : 0631215611 ISBN 13 : 9780631215615
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Description du livre John Wiley and Sons Ltd, United Kingdom, 2003. Hardback. État : New. New.. 262 x 185 mm. Language: English . Brand New Book. This authoritative book enables readers to evaluate the various performance and risk attributes of mutual funds, while also serving as a comprehensive resource for students, academics, and general investors alike. Avoiding the less useful descriptive approach to fund selection, this book employs a balanced approach including both technique and application. The chapters combine clear summaries of existing research with practical guidelines for mutual fund analysis. * Enables readers to analyze mutual funds by evaluating a fund s various performance and risk attributes. * Includes templates, which provide an efficient, sound approach to fund analysis, interpretation of results, buy/sell decisions, and the timing of decisions. * Combines clear summaries of existing research with practical guidelines for mutual fund analysis. N° de réf. du libraire AAH9780631215615

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John A. Haslem
Edité par John Wiley and Sons Ltd, United Kingdom (2003)
ISBN 10 : 0631215611 ISBN 13 : 9780631215615
Neuf(s) Couverture rigide Quantité : 1
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The Book Depository
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Description du livre John Wiley and Sons Ltd, United Kingdom, 2003. Hardback. État : New. New.. 262 x 185 mm. Language: English . Brand New Book. This authoritative book enables readers to evaluate the various performance and risk attributes of mutual funds, while also serving as a comprehensive resource for students, academics, and general investors alike. Avoiding the less useful descriptive approach to fund selection, this book employs a balanced approach including both technique and application. The chapters combine clear summaries of existing research with practical guidelines for mutual fund analysis. * Enables readers to analyze mutual funds by evaluating a fund s various performance and risk attributes. * Includes templates, which provide an efficient, sound approach to fund analysis, interpretation of results, buy/sell decisions, and the timing of decisions. * Combines clear summaries of existing research with practical guidelines for mutual fund analysis. N° de réf. du libraire AAH9780631215615

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Description du livre 1991. Hardcover. État : New. 1st. 171mm x 36mm x 248mm. Hardcover. This authoritative book enables readers to evaluate the various performance and risk attributes of mutual funds, while also serving as a comprehensive resource for students, academics, and.Shipping may be from multiple locations in the US or from the UK, depending on stock availability. 596 pages. 1.125. N° de réf. du libraire 9780631215615

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Description du livre 1991. Hardcover. État : New. 1st. 171mm x 36mm x 248mm. Hardcover. This authoritative book enables readers to evaluate the various performance and risk attributes of mutual funds, while also serving as a comprehensive resource for students, a.Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability. 596 pages. 1.125. N° de réf. du libraire 9780631215615

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