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Are mutual funds providing their investors with an adequate risk-adjusted return? Or the fund managers fail in delivering on their promise? The book reveals whether fund managers yield superior returns when benchmarked against passive investments - indices such as S&P 500, FTSE 100, or DAX. The author uses real investment funds data and provides a robust case based on quantitative research methodology.

Produktbeschreibung
Are mutual funds providing their investors with an adequate risk-adjusted return? Or the fund managers fail in delivering on their promise? The book reveals whether fund managers yield superior returns when benchmarked against passive investments - indices such as S&P 500, FTSE 100, or DAX. The author uses real investment funds data and provides a robust case based on quantitative research methodology.
Autorenporträt
Dr. Igor Gvozdanovic: es director ejecutivo de Platinum Invest, una empresa de gestión de fondos con dos fondos de inversión colectiva/OICVM. Es profesor en la ZSEM, la SMC University y la EUSME. Su labor de tutoría global incluye más de 35 tesis doctorales y de máster con temas de gestión financiera e inversiones.