This book provides a rigorous yet accessible introduction to portfolio and security analysis. The context presented by Portfolio Management is new, global coverage of securities markets, trading venues, and market-related concepts and products. The book uses large chapters to explain in detail the nature of security analysis and pricing. This book includes industry analysis and other content that is very important to practitioners but is easily overlooked. The focus throughout this book is on the practical application of key concepts from emerging and developed markets through real-life examples. The individual chapters provide the reader with many opportunities for self-assessment. Unlike other textbooks, each chapter of this book is co-written by senior investors and business school professors from around the world. The comprehensive, professional, and global nature of this book will pique the interest of any reader who wants to learn about portfolio management and security analysis.
Reader comments
It is comprehensive, professional, and global in content. It explains key concepts through real cases and is easy to understand. And the authors and writers are great and come from all over the world. I feel that both those who want to learn investing and those who are already in the investment field can learn a lot from this book.
It is comprehensive, professional, and global in content. It explains key concepts through real cases and is easy to understand. And the authors and writers are great and come from all over the world. I feel that both those who want to learn investing and those who are already in the investment field can learn a lot from this book.