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Books in Investment management

1-10 of 59 results in All results

Performance Attribution Volume 2

  • 2nd Edition
  • February 1, 2025
  • Brian Singer + 2 more
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 8 3 0 1 - 4
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 8 3 0 2 - 1
Performance Attribution Volume 2: Analysis and Reporting, Second Edition explains the practical aspects of building or interpreting a top-to-bottom performance attribution system applicable to many asset classes. Requiring a familiarity with the principal concepts of portfolio analysis, it features standard methodologies and alternative approaches to the attribution of diverse assets, including derivatives, fixed income, and hedge funds. Based on the authors’ Performance Evaluation and Attribution of Security Portfolios (2012), its concentration on the ethical standards embodied by GIPS includes a summary of provisions for the presentation of risk in a firm’s investments.

Valuing and Investing in Equities

  • 1st Edition
  • November 19, 2020
  • Francesco Curto
  • English
  • Paperback
    9 7 8 - 0 - 3 2 3 - 8 9 9 2 4 - 6
Valuing and Investing in Equities: CROCI: Cash Return on Capital Investment develops a common-sense framework for value investors. By distinguishing investors from speculators, it acknowledges the variety of styles and goals in the financial markets. After explaining the intuition behind due diligence, portfolio construction, and stock picking, it shows the reader how to perform these steps and how to evaluate their results. Francesco Curto illuminates the costs and opportunities afforded by valuation strategies, inflation, and bubbles, emphasizing their effects on each other within the CROCI framework. Balancing analytics with an engaging clarity, the book neatly describes a comprehensive, time-tested approach to investing. Annual returns from this investment approach demand everyone’s attention.

Student-Managed Investment Funds

  • 2nd Edition
  • July 23, 2020
  • Brian Bruce
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 7 8 6 6 - 9
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 7 8 6 7 - 6
Student-Managed Investment Funds: Organization, Policy, and Portfolio Management, Second Edition, helps students work within a structured investment management organization, whatever that organizational structure might be. It aids them in developing an appreciation for day-to-day fund operations (e.g., how to get portfolio trade ideas approved, how to execute trades, how to reconcile investment performance), and it addresses the management of the portfolio and the valuation/selection process for discriminating between securities. No other book covers the "operational" related issues in SMIFs, like organizations, tools, data, presentation, and performance evaluation. With examples of investment policy statements, presentation slides, and organizational structures from other schools, Student-Managed Investment Funds can be used globally by students, instructors, and administrators alike.

Valuing and Investing in Equities

  • 1st Edition
  • April 16, 2020
  • Francesco Curto
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 3 8 4 8 - 9
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 3 8 4 9 - 6
Valuing and Investing in Equities: CROCI: Cash Return on Capital Investment develops a common-sense framework for value investors. By distinguishing investors from speculators, it acknowledges the variety of styles and goals in the financial markets. After explaining the intuition behind due diligence, portfolio construction, and stock picking, it shows the reader how to perform these steps and how to evaluate their results. Francesco Curto illuminates the costs and opportunities afforded by valuation strategies, inflation, and bubbles, emphasizing their effects on each other within the CROCI framework. Balancing analytics with an engaging clarity, the book neatly describes a comprehensive, time-tested approach to investing. Annual returns from this investment approach demand everyone’s attention.

Environmental, Social, and Governance (ESG) Investing

  • 1st Edition
  • January 30, 2020
  • John Hill
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 1 8 6 9 2 - 3
  • eBook
    9 7 8 - 0 - 1 2 - 8 1 8 6 9 3 - 0
Environmental, Social, and Governance (ESG) Investing: A Balanced Analysis of the Theory and Practice of a Sustainable Portfolio presents a balanced, thorough analysis of ESG factors as they are incorporated into the investment process. An estimated 25% of all new investments are in ESG funds, with a global total of $23 trillion and the U.S. accounting for almost $9 trillion. Many advocate the sustainability goals promoted by ESG, while others prefer to maximize returns and spend their earnings on social causes. The core problem facing those who want to promote sustainability goals is to define sustainability investing and measure its returns. This book examines theories and their practical implications, illuminating issues that other books leave in the shadows.

Public-Private Partnerships for Infrastructure

  • 2nd Edition
  • May 29, 2018
  • E. R. Yescombe + 1 more
  • English
  • Hardback
    9 7 8 - 0 - 0 8 - 1 0 0 7 6 6 - 2
  • eBook
    9 7 8 - 0 - 0 8 - 1 0 0 7 6 7 - 9
Public-Private Partnerships for Infrastructure - Principles of Policy and Finance, Second Edition explains how public private partnerships are prepared, procured, financed, and managed from both the public- and private-sector perspectives. As the use of public private partnerships continues to develop world-wide, both in the area of public policy and private financing and contracting, the Second Edition of this leading textbook: Captures and explains the latest approaches, providing a comprehensive all-round guide for those on both the public- and private-sector sides of the table Emphasises a step-by-step approach within a comprehensive, cross-referenced format Includes clear explanations of PPP evaluation, structuring and financing concepts for the benefit of those new to the topic: no prior knowledge is assumed or required Provides detailed reference points for more experienced practitioners Draws from the authors’ experience and practice in  PPP markets worldwide to provide a perspective on practical application of the key underlying principles Includes an extensive glossary of technical and financial terms used in the PPP sector

Financing Entrepreneurship and Innovation in Emerging Markets

  • 1st Edition
  • November 13, 2017
  • Lourdes Casanova + 2 more
  • English
  • Hardback
    9 7 8 - 0 - 1 2 - 8 0 4 0 2 5 - 6
  • eBook
    9 7 8 - 0 - 1 2 - 8 0 4 0 2 6 - 3
Financing Entrepreneurship and Innovation in Emerging Markets offers an original perspective on the links between macro data on innovation, data on micro-entrepreneurial processes and venture capital supply. The authors synthesize two disparate fields of research and thinking—innovation and entrepreneurship and economics—to illuminate how domestic companies compete and the business environment in which entrepreneurial firms operate. Its broad scope and firm linkages between processes at different levels leapfrogs research topics. For those investigating entrepreneurship and innovation in the early stages of economic development, this book demonstrates how micro and macro foundations of productivity, and hence economic growth and development, are inextricably intertwined.

Factor Investing

  • 1st Edition
  • October 9, 2017
  • Emmanuel Jurczenko
  • English
  • Hardback
    9 7 8 - 1 - 7 8 5 4 8 - 2 0 1 - 4
  • eBook
    9 7 8 - 0 - 0 8 - 1 0 1 9 6 4 - 1
This new edited volume consists of a collection of original articles written by leading industry experts in the area of factor investing.The chapters introduce readers to some of the latest research developments in the area of equity and alternative investment strategies.Each chapter deals with new methods for constructing and harvesting traditional and alternative risk premia, building strategic and tactical multifactor portfolios, and assessing related systematic investment performances. This volume will be of help to portfolio managers, asset owners and consultants, as well as academics and students who want to improve their knowledge and understanding of systematic risk factor investing.

Data Analytics for Intelligent Transportation Systems

  • 1st Edition
  • April 4, 2017
  • Mashrur Chowdhury + 2 more
  • English
  • Paperback
    9 7 8 - 0 - 1 2 - 8 0 9 7 1 5 - 1
  • eBook
    9 7 8 - 0 - 1 2 - 8 0 9 8 5 1 - 6
Data Analytics for Intelligent Transportation Systems provides in-depth coverage of data-enabled methods for analyzing intelligent transportation systems that includes detailed coverage of the tools needed to implement these methods using big data analytics and other computing techniques. The book examines the major characteristics of connected transportation systems, along with the fundamental concepts of how to analyze the data they produce. It explores collecting, archiving, processing, and distributing the data, designing data infrastructures, data management and delivery systems, and the required hardware and software technologies. Users will learn how to design effective data visualizations, tactics on the planning process, and how to evaluate alternative data analytics for different connected transportation applications, along with key safety and environmental applications for both commercial and passenger vehicles, data privacy and security issues, and the role of social media data in traffic planning.

Engineering Investment Process

  • 1st Edition
  • March 17, 2017
  • Florian Ielpo + 2 more
  • English
  • Hardback
    9 7 8 - 1 - 7 8 5 4 8 - 1 6 2 - 8
  • eBook
    9 7 8 - 0 - 0 8 - 1 0 1 1 4 8 - 5
Engineering Investment Process: Making Value Creation Repeatable explores the quantitative steps of a financial investment process.The authors study how these steps are articulated in order to make any value creation, whatever the asset class, consistent and robust.The discussion includes factors, portfolio allocation, statistical and economic backtesting, but also the influence of negative rates, dynamical trading, state-space models, stylized facts, liquidity issues, or data biases.Besides the quantitative concepts detailed here, the reader will find useful references to other works to develop an in-depth understanding of an investment process.