Tuesday, December 18, 2012

Investment Company Portfolio Mangement

Investment Company Portfolio Mangement
by Andrew P. Ferretti (Editor)

Book Description: Richard D. Irwin, Inc., Homewood, IL, 1970. Hardcover. 1st Edition. 8vo - over 7¾ - 9¾" tall. Hardcover, green boards with black title to cover and spine, First Edition, First Printing, July 1970, ( Proceedings from a C.F.A. Research Seminar May 26-27, 1969 Charlottesville, Virginia), 186 pp.,

Book Condition: Very Good, light soil to covers, corners bumped, general shelfwear, interior is clean, bright and unmarked, no dust jacket as issued,

Contents: Introduction, I. Fund Distribution and The Fund Manager, II. The Professional's View of Risk, III. Developing the Investment Objective, IV. Assigning Management Responsibility, V. Performance and Incentives, VI. Search for Performance, VII. Letter Stock, New Issues, and Portfolio Turnover, VIII. Technical Analysis, IX. Economic Environment, X. Portfolio Planning, XI. Portfolio Planning Constraits, XII. Managing Fund Cash, XIII. Portfolio Management Techniques, XIV. Organizing Security Analysis, XV. Gamesmanship, Appendix A. Outline of Objectives, B. Selected Bibliography, -- end. 186 pp. Collectible First Edition, First Printing. 

Buy Now: 
$45.00


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