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Mastering Risk-Adjusted Performance Measurement: A Practical Guide to Applying Sharpe Ratio, Tracking Error, Drawdown, MAR Ratio, and Other Performance Indicators to Help You Make Better Investment Decisions

$16.28

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  • Master the theory and practice of risk-adjusted performance measurement
  • Understand the different types of risk-adjusted performance measures
  • Learn how to calculate risk-adjusted performance measures
  • Apply risk-adjusted performance measures to real-world investment portfolios
  • Evaluate the performance of investment managers using risk-adjusted measures
  • Identify the strengths and weaknesses of different risk-adjusted performance measures
  • Use risk-adjusted performance measures to make better investment decisions
  • Improve the risk-adjusted performance of your investment portfolio
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ISBN: 1119838843 Category: Author:

Condition: New original from publisher

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Diana Moore

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Mastering Risk-Adjusted Performance Measurement: A Practical Guide to Applying Sharpe Ratio, Tracking Error, Drawdown, MAR Ratio, and Other Performance Indicators to Help You Make Better Investment Decisions $16.28
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