Investment experts from major financial institutions present the current research, techniques and strategies for protecting and enhancing the values of fund and portfolio assets. They cover both equities and fixed income securities, and foreign securities. Special attention is given to both active and structured portfolio strategies as well as to the role of options and futures in portfolio management. For portfolio managers, traders and financial executives. Annotation copyright Book News, Inc. Portland, Or.
Frank J. Fabozzi is a Professor in the Practice of Finance and Becton Fellow in the Yale School of Management. He is well known as the author of numerous books on finance, both practitioner-focused and academic. Professor Frank J. Fabozzi will be joining Edhec Risk Institute on August 1, 2011. EDHEC-Risk Institute is part of EDHEC Business School, one of Europe’s leading business schools.