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- catalog contributor b13257737.
- catalog created "c2003.".
- catalog date "2003".
- catalog date "c2003.".
- catalog dateCopyrighted "c2003.".
- catalog description "Ch. 1. Investment Performance Measurement -- Pt. 1. Return Measurement -- Ch. 2. Single Period Return -- Ch. 3. Money-Weighted Return -- Ch. 4. Time-Weighted Return -- Ch. 5. Multiperiod Return -- Ch. 6. Adjusting Returns for Impact of Fees, Taxes, and Currency -- Ch. 7. Measuring Relative Return -- Pt. 2. Risk Measurement -- Ch. 8. Risk -- Ch. 9. Absolute Risk -- Ch. 10. Downside Risk -- Ch. 11. Relative Risk -- Pt. 3. Measuring Risk-Adjusted Performance -- Ch. 12. Absolute Risk-Adjusted Return -- Ch. 13. Downside and Relative Risk-Adjusted Return -- Ch. 14. Assessing Skill -- Pt. 4. Performance Attribution -- Ch. 15. Security and Segment Returns -- Ch. 16. Effective Exposure Basis Returns -- Ch. 17. Contribution Analysis -- Ch. 18. Attributing Value Added to Management Decisions -- Ch. 19. Strategy-Specific Return Decomposition -- Pt. 5. Performance Presentation -- Ch. 20. AIMR- and GIPS-Compliant Performance Presentations -- App. The AIMR Performance Presentation Standards.".
- catalog description "Includes bibliographical references and index.".
- catalog extent "xiii, 353 p. :".
- catalog identifier "0471268496".
- catalog isPartOf "Frank J. Fabozzi series".
- catalog issued "2003".
- catalog issued "c2003.".
- catalog language "eng".
- catalog publisher "Hoboken, N.J. : J. Wiley,".
- catalog subject "332.6 22".
- catalog subject "HG4529 .F45 2003".
- catalog subject "Investment analysis.".
- catalog subject "Investments.".
- catalog tableOfContents "Ch. 1. Investment Performance Measurement -- Pt. 1. Return Measurement -- Ch. 2. Single Period Return -- Ch. 3. Money-Weighted Return -- Ch. 4. Time-Weighted Return -- Ch. 5. Multiperiod Return -- Ch. 6. Adjusting Returns for Impact of Fees, Taxes, and Currency -- Ch. 7. Measuring Relative Return -- Pt. 2. Risk Measurement -- Ch. 8. Risk -- Ch. 9. Absolute Risk -- Ch. 10. Downside Risk -- Ch. 11. Relative Risk -- Pt. 3. Measuring Risk-Adjusted Performance -- Ch. 12. Absolute Risk-Adjusted Return -- Ch. 13. Downside and Relative Risk-Adjusted Return -- Ch. 14. Assessing Skill -- Pt. 4. Performance Attribution -- Ch. 15. Security and Segment Returns -- Ch. 16. Effective Exposure Basis Returns -- Ch. 17. Contribution Analysis -- Ch. 18. Attributing Value Added to Management Decisions -- Ch. 19. Strategy-Specific Return Decomposition -- Pt. 5. Performance Presentation -- Ch. 20. AIMR- and GIPS-Compliant Performance Presentations -- App. The AIMR Performance Presentation Standards.".
- catalog title "Investment performance measurement / Bruce J. Feibel.".
- catalog type "text".