£148.37

IGI Global Alternative Financial Portfolio Management Book

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Description

Economics serves as a foundation for successful societies, yet many standard financial practices have remained static for decades. This book, Alternative Decision-Making Models for Financial Portfolio Management, explores unconventional finance methods that offer new perspectives for securing personal financial futures and strengthening international economies. As part of the Advances in Finance, Accounting, and Economics series, this reference source provides professionals in economic fields with the tools needed to make financial administration more efficient. By examining emerging research and new opportunities, the text helps readers move beyond traditional methods to implement modern techniques. Whether you are looking to understand new ways to manage portfolios or seeking to improve decision-making processes within economic sectors, this work offers relevant insights into modern financial management. It is designed to assist professionals in navigating the evolving landscape of financial administration through updated research and practical models.

Key Features

Explores unconventional finance methods to help secure individual personal financial futures and support international economic growth.

Provides updated research on decision-making models to improve the efficiency of financial administration for economic professionals.

Offers a deep look into emerging opportunities within the fields of finance, accounting, and economics.

Serves as an essential reference source for those seeking to move beyond outdated and unchanged financial practices.

Includes relevant topics such as mean-variance analysis to assist in modern portfolio management and decision-making.

Product Specifications

Format
hardcover
Domain
Amazon UK
Release Date
11 August 2017
Listed Since
02 June 2017

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