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Investment Risk Management
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Investment Risk Management Tapa dura - 2015 - 1st Edición

de H. Kent Baker (Editor); Greg Filbeck (Editor)


Detalles

  • Título Investment Risk Management
  • Autor H. Kent Baker (Editor); Greg Filbeck (Editor)
  • Encuadernación Tapa dura
  • Número de edición 1st
  • Edición 1
  • Páginas 710
  • Volúmenes 1
  • Idioma ENG
  • Editorial Oxford University Press, USA
  • Fecha de publicación 2015-01-02
  • Features Bibliography, Index
  • ISBN 9780199331963 / 0199331960
  • Peso 2.51 libras (1.14 kg)
  • Dimensiones 9.4 x 6.4 x 1.7 pulgadas (23.88 x 16.26 x 4.32 cm)
  • Temas
    • Aspects (Academic): Economic
  • Library of Congress subjects Investments, Portfolio management
  • Número de catálogo de la Librería del Congreso de EEUU 2014024764
  • Dewey Decimal Code 332.6

Acerca del autor

H. Kent Baker is a University Professor of Finance in the Kogod School of Business at American University. Professor Baker is an author or editor of 22 books including Investor Behavior - The Psychology of Financial Planning and Investing, Market Microstructure of Emerging and Developed Markets, Behavioral Finance - Investors, Corporations, and Markets, Portfolio Theory and Management, and Survey Research in Corporate Finance. As one of the most prolific finance academics, he has published more than 150 refereed articles in such journals as the Journal of Finance, Journal of Financial and Quantitative Analysis, Financial Management, Financial Analysts Journal, and Journal of Portfolio Management. He has consulting and training experience with more than 100 organizations. Professor Baker holds a BSBA from Georgetown University; M.Ed., MBA, and DBA degrees from the University of Maryland; and an MA, MS, and two PhDs from American University. He also holds CFA and CMA designations.

Greg Filbeck holds the Samuel P. Black III Professor of Insurance and Risk Management at Penn State Erie, the Behrend College and serves as Area Chair for Finance, Accounting, and Business Economics. He formerly served as Senior Vice-President of Kaplan Schweser and held academic appointments at Miami University (Ohio) and the University of Toledo, where he served as the Associate Director of the Center for Family Business. Professor Filbeck is an author or editor of four books and has published more than 75 refereed academic journal articles that have appeared in journals such as Financial Analysts Journal, Financial Review, and Journal of Business, Finance, and Accounting. Professor Filbeck conducts consulting and training world-wide for candidates for the Chartered Financial Analyst (CFA), Financial Risk Manager (FRM(TM)), and Chartered Alternative Investment Adviser (CAIA(R)) designations as well as holding all three designations. Professor Filbeck holds a BS from Murray State University, an MS from Penn State University, and a DBA from the University of Kentucky.

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Investment Risk Management
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Investment Risk Management

de H. Kent Baker

  • Nuevo
  • Tapa dura
Estado
Nuevo
Encuadernación
Hardcover
ISBN 10 / ISBN 13
9780199331963 / 0199331960
Cantidad disponible
963
Librería
Uxbridge, Greater London, United Kingdom
Puntuación del vendedor:
Este vendedor ha conseguido 5 de las cinco estrellas otorgadas por los compradores de Biblio.
Precio
EUR 153.99
EUR 9.50 enviando a USA

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Descripción:
Hard Cover. New. New Book; Fast Shipping from UK; Not signed; Not First Edition; The Investment Risk Management.
Precio
EUR 153.99
EUR 9.50 enviando a USA