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Portfolio Theory and Investment Management - Richard Dobbins

Portfolio Theory and Investment Management

By: Richard Dobbins, Stephen Witt, John Fielding

Paperback | 1 November 1993 | Edition Number 2

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Since the first edition of this book was published, significant developments have modified the general view of the efficient market hypothesis. This fully revised second edition provides a major contribution to the study of these developments.The authors provide a concise summary of modern portfolio theory covering such issues as:* The mean-variance approach to portfolio management.* The capital asset pricing model.* The efficient market hypothesis and option pricing theories.* Risk measurement services.Combining theory and practice, this is an ideal introductory text for undergraduate and postgraduate students, as well as a useful reference for investment managers.
Industry Reviews
"A good course book in intermediate level financial management." Accountancy (Review of first edition)

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