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    Portfolio Management : Delivering on Strategy

    Portfolio management is becoming the ‘must have’ for organizations to prosper and survive in this decade and beyond.No longer can the organizational focus be one of following best and repeatable practices as resource limitations mean only those programs, projects, and operational work that add business value can and should be pursued.Executives are focusing on strategic ability and managing complexity, which can only be done through a disciplined portfolio process in ensuring the best mix of programs, projects, and operational work is under way.In turn, the portfolio is constantly in flux as difficult decisions are made if a project, for example, is no longer contributing to business value and providing benefits and should be terminated to reallocate resources to one of higher priority.Commitment to this difficult approach is necessary at all levels, and communication is required so everyone knows how their work contributes to the organization’s strategic goals and objectives. Portfolio Management: Delivering on Strategy, Second Edition focuses on the benefits of portfolio management to the organization.Its goal is to provide senior executives a view on how portfolio management can deliver organizational strategy.The emphasis is on the specific aspects within the portfolio management discipline and how each aspect should be managed from a business perspective and not necessarily from a portfolio management perspective.Highlights of the book include:Agile portfolio management Delivering organizational value Portfolio management and uncertainty Portfolio governance Marketing a portfolio Portfolio management success Starting with a review of the project portfolio concept and its development, this book is a reference for executives and practitioners in the field, as well as a students and researchers studying portfolio management.

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  • Applied Fundamentals in Finance : Portfolio Management and Investments
    Applied Fundamentals in Finance : Portfolio Management and Investments

    This textbook provides a comprehensive introduction to portfolio management and investments.Focusing on four core areas – portfolio management, equities, bonds, and derivatives – it is primarily intended for undergraduate and graduate students alike.However, it will also benefit practitioners working in the fields of financial analysis and portfolio management and professionals who aspire to such professional activities in the financial industry.To ensure its high practical relevance, the book includes a host of case studies and examples from real-world practice, mainly from the German and Swiss financial markets.Additionally, the book shows how to implement the models in Microsoft Excel.

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  • the mermaid's voice returns in this one
    the mermaid's voice returns in this one

    Goodreads Choice Award-winning poet and USA TODAY bestselling author Amanda Lovelace presents the mermaid’s voice returns in this one — the third and final installment in her “women are some kind of magic” series, featuring a foreword from Lang Leav and 13 guest poems from leading voices in poetry such as Nikita Gill, KY Robinson, and Orion Carloto. The mermaid is known for her siren song, luring bedroom-eyed sailors to their demise.However, beneath these misguided myths are tales of escapism and healing, which Lovelace weaves throughout this empowering collection of poetry, taking you on a journey from the sea to the stars.They tried to silence her once and for all, but the mermaid’s voice returns in this one.

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  • Behavioral Finance and Your Portfolio : A Navigation Guide for Building Wealth
    Behavioral Finance and Your Portfolio : A Navigation Guide for Building Wealth

    Become a more strategic and successful investor by identifying the biases impacting your decision making. In Behavioral Finance and Your Portfolio, acclaimed investment advisor and author Michael M.Pompian delivers an insightful and thorough guide to countering the negative effect of cognitive and behavioral biases on your financial decisions.You’ll learn about the “Big Five” behavioral biases and how they’re reducing your returns and leading to unwanted and unnecessary costs in your portfolio. Designed for investors who are serious about maximizing their gains, in this book you’ll discover how to: ?Take control of your decision-making—even when challenging markets push greed and fear to intolerable levels ?Reflect on how to make investment decisions using data-backed and substantiated information instead of emotion and bias ?Counter deep-seated biases like loss aversion, hindsight and overconfidence with self-awareness and hard facts ?Identify your personal investment psychology profile, which you can use to inform your future financial decision making Behavioral Finance and Your Portfolio was created for individual investors, but will also earn a place in the libraries of financial advisors, planners and portfolio managers who are determined to counteract the less principled and data-driven aspects of their decision making.

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  • Can this strategy be successful?

    Yes, this strategy can be successful if implemented effectively. By focusing on customer retention and loyalty, businesses can build long-term relationships with their customers, leading to repeat purchases and positive word-of-mouth referrals. Additionally, providing personalized experiences and rewards can help to strengthen the bond between the brand and its customers. However, it is important to continuously adapt and improve the strategy based on customer feedback and market trends to ensure its success.

  • Would you like this strategy game?

    As an AI, I do not have personal preferences or the ability to play games. However, if you enjoy strategy games that challenge your critical thinking skills and decision-making abilities, you may find this game to be engaging and enjoyable. It offers a unique experience that can be both entertaining and intellectually stimulating.

  • Is this exponential growth?

    Yes, this is exponential growth. Exponential growth occurs when a quantity increases at a constant percentage rate over a period of time. In this case, the population is doubling every year, which is a clear indication of exponential growth. The growth rate is not constant, but rather increasing rapidly over time, leading to a steep upward curve in the population growth.

  • What is your question about portfolio management?

    My question about portfolio management is how to effectively diversify a portfolio to minimize risk while maximizing returns. I am interested in understanding the different asset classes and investment strategies that can be used to achieve a well-balanced and diversified portfolio. Additionally, I would like to know how to monitor and rebalance a portfolio to ensure it remains aligned with my investment goals and risk tolerance.

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  • Portfolio Selection : Efficient Diversification of Investments
    Portfolio Selection : Efficient Diversification of Investments

    This is a classic book, representing the first major breakthrough in the field of modern financial theory.In effect, it created the mathematics of portfolio selection in a model which has turned out to be the indispensable building block from which the theory of the demand for risky securities is constructed.

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  • Digital Assets : A Portfolio Perspective
    Digital Assets : A Portfolio Perspective

    From the perspective of an investor, digital assets are an alternative class of assets.They have several features that differentiate them from traditional investments.This makes them well-suited for a diversified portfolio.The question is how to accommodate them in such a portfolio, how to manage their potential and risk, and how to evaluate them.This short book explains how to include digital assets is a diversified portfolio.It focuses on their differentiating use cases, their idiosyncracies, and how they relate to other types of investment.This is a volume for practitioners and students in finance, asset management, or portfolio construction.

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  • The Change Ninja Returns : And this time it’s personal
    The Change Ninja Returns : And this time it’s personal

    **Goody Business Book Awards 2024: Self-Help - Personal Transformation Winner**Following an unexpected and unwanted personal upheaval, Dr Tammy Watchorn, the original Change Ninja, became her own real-life case study. She decided to test just how effective the change management and neuroscience tools she’d been using professionally might be outside the workplace, when the stakes were high, the emotions raw and a wrong decision could end in disaster. Building on The Change Ninja Handbook’s gamified approach, Tammy’s story unfolds in parallel to you gaining fresh insights with practical tools that will equip you to navigate your own life’s challenges, from managing your emotions to making the right decision when you’ve no idea what to do next. If you’re facing unwanted change in your life, you might be surprised to find that you already have many of the resources and skills you need, and this story and toolkit will ensure you can easily access them when needed. Discover how to Ninja your life!“I love this book.It’s practical, accessible, and full of humour.” - Jenny Landreth, Writer and script editor"Read this book to find your own recipe and awaken your hidden ‘doer’.” - Margo Waldorf, Founder at Change AwardsDr Tammy Watchorn’s experiences of leading transformational change in complex highly resistant environments led to The Change Ninja Handbook.She now focuses on writing, training, facilitating and coaching at all levels within and across organizations with a strong focus on change management, neuroscience, behaviours and resistance to change, effective delivery and productivity.

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  • Network Models in Finance : Expanding the Tools for Portfolio and Risk Management
    Network Models in Finance : Expanding the Tools for Portfolio and Risk Management

    Expansive overview of theory and practical implementation of networks in investment management Guided by graph theory, Network Models in Finance: Expanding the Tools for Portfolio and Risk Management provides a comprehensive overview of networks in investment management, delivering strong knowledge of various types of networks, important characteristics, estimation, and their implementation in portfolio and risk management.With insights into the complexities of financial markets with respect to how individual entities interact within the financial system, this book enables readers to construct diversified portfolios by understanding the link between price/return movements of different asset classes and factors, perform better risk management through understanding systematic, systemic risk and counterparty risk, and monitor changes in the financial system that indicate a potential financial crisis.With a practitioner-oriented approach, this book includes coverage of: Practical examples of broad financial data to show the vast possibilities to visualize, describe, and investigate markets in a completely new wayInteractions, Causal relationships and optimization within a network-based framework and direct applications of networks compared to traditional methods in financeVarious types of algorithms enhanced by programming language codes that readers can implement and use for their own data Network Models in Finance: Expanding the Tools for Portfolio and Risk Management is an essential read for asset managers and investors seeking to make use of networks in research, trading, and portfolio management.

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  • What opportunities does health management offer?

    Health management offers opportunities to make a positive impact on people's lives by improving healthcare delivery and outcomes. It also provides opportunities for leadership and innovation in the healthcare industry, as well as the chance to work with diverse teams and stakeholders to address complex health challenges. Additionally, health management offers opportunities for career growth and advancement in a rapidly evolving and essential field.

  • Is this strategy potentially useful for sports betting?

    Yes, this strategy could potentially be useful for sports betting. By analyzing historical data and identifying patterns, bettors can make more informed decisions when placing bets. However, it's important to remember that sports betting involves a degree of uncertainty and no strategy can guarantee success. It's also crucial to continuously update and refine the strategy based on new data and trends in order to stay competitive in the sports betting market.

  • Can I make good money with this strategy?

    The potential to make good money with a strategy depends on various factors such as market conditions, your level of expertise, and the amount of time and effort you are willing to invest. It is important to thoroughly research and understand the strategy you are considering, as well as to continuously monitor and adjust your approach as needed. While there is potential to make good money with any strategy, there are also risks involved, so it is essential to approach it with caution and a realistic mindset.

  • What is the name of this strategy game?

    The name of this strategy game is "Chess." It is a two-player board game that involves skill, strategy, and critical thinking. Players take turns moving their pieces across the board with the ultimate goal of checkmating their opponent's king. Chess has been played for centuries and is considered one of the most popular and challenging strategy games in the world.

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