Trading and Money Management in a Student-Managed Portfolio is a hands-on textbook for student-managed investment funds (SMIFs). The book presents the applied material that textbooks on portfolios and investments always overlook. Its focus on "how-to" questions summarizes the disciplines and skills necessary for trading. Covering equities, hedge funds and derivatives, and fixed income, it captures the breadth and detail necessary for developing and executing trading strategies. Developed specifically for SMIF courses, the book features calculations, examples, and software that help you move from talking about markets to taking positions in them. Methodically summarizes the disciplines and skills necessary for trading Teaches you to build a ranking model for securities and write a research report for a sell-side firm Covers equities, fixed income, derivatives, and hedge funds
Organization, Policy, and Portfolio Management Brian Bruce ... This material was reproduced from the previous version, Trading and Money Management in a Student-Managed Portfolio. The factor model presented in the main text of the ...
Journal of Forecasting, 16, 475–490. Guerard, J. B. (2012). Global earnings forecast efficiency. Research in Finance, 28, 19–47. Guerard, B., Jr. (2013). Introduction to financial forecasting in investment analysis. New York: Springer.
"This book presents an outstanding wealth of information on mutual funds in a remarkably readable format. It is probably the most comprehensive work currently available on funds.
This new text is most effectively used in conjunction with cases, projects, and real-time portfolios requiring “hands on” application of the material.
Praise for Quantitative Equity Portfolio Management “A must-have reference for any equity portfolio manager or MBA student, this book is a comprehensive guide to all aspects of equity portfolio management, from factor models to tax ...
Count on this exceptional text to provide the thorough introduction to derivatives and risk management that students need for success in financial business today.
This book transforms a newbie into a pro by guiding the reader in a complete and smooth manner such that even non-researchers can understand the basics. When the book first came out, it was ahead of its time and influenced the field.
"--John Mauldin, President, Millennium Wave Investment and author, Bull's Eye Investing "As an academic and as a practitioner specializing in hedge funds, this book finds just the right blend of real world insight and quantitative analysis.
Introduction to Investment Management
Embracing finance, economics, operations research, and computers, this book applies modern techniques of analysis and computation to find combinations of securities that best meet the needs of private or institutional investors.