Research Catalog

Global portfolio management for institutional investors

Title
Global portfolio management for institutional investors / Jeff Madura.
Author
Madura, Jeff.
Publication
Westport, Conn. : Quorum, 1996.

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StatusFormatAccessCall NumberItem Location
TextRequest in advance HG4521 .M274 1996Off-site

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Details

Description
xiv, 172 pages; 21 cm
Subjects
Bibliography (note)
  • Includes bibliographical references and index.
Contents
1. Measuring the Return and Risk from International Investing -- 2. Methods for Investing in Foreign Stocks -- 3. Valuation of Foreign Stocks -- 4. Hedging Market Risk -- 5. Exchange Rate Movements -- 6. Hedging Exchange Rate Risk -- 7. Dynamic Asset Allocation -- 8. Growth of Emerging Markets -- 9. Performance Evaluation -- Appendix. Influence of Foreign Markets on Multinational Stocks: Implications for Investors.
ISBN
156720032X (alk. paper)
LCCN
95044349
OCLC
  • 33276131
  • ocm33276131
Owning Institutions
Columbia University Libraries