Description
John Maginn – Managing Investment Portfolios (3rd Ed.)
Description
“A rare blend of a well-organized, comprehensive guide to portfolio management and a deep, cutting-edge treatment of the key topics by distinguished authors who have all practiced what they preach. The subtitle, A Dynamic Process, points to the fresh, modern ideas that sparkle throughout this new edition. Just reading Peter Bernstein’s thoughtful Foreword can move you forward in your thinking about this critical subject.”
—Martin L. Leibowitz, Morgan Stanley John Maginn – Managing Investment Portfolios (3rd Ed.)
“Managing Investment Portfolios remains the definitive volume in explaining investment management as a process, providing organization and structure to a complex, multipart set of concepts and procedures. Anyone involved in the management of portfolios will benefit from a careful reading of this new edition.” John Maginn – Managing Investment Portfolios (3rd Ed.)
—Charles P. Jones, CFA, Edwin Gill Professor of Finance, College of Management, North Carolina State University
Author Information
JOHN L. MAGINN, CFA, is President of Maginn Associates, Inc., a financial consulting firm. He is also an adjunct professor in the MBA program at Creighton University. He is retired from Mutual of Omaha, where he was the chief investment officer and treasurer, and is also a past chairman of the board of trustees of AIMR, the predecessor to CFA Institute.
DONALD L. TUTTLE, CFA, was vice president of CFA Institute in its Curriculum and Examinations Department from 1992 until his retirement in 2004. He received a BSBA and MBA from the University of Florida and a PhD from the University of North Carolina at Chapel Hill. Dr. Tuttle taught for 21 years at Indiana University, where he chaired the Finance Department from 1970 to 1980. He was Associate Professor of Finance at the University of North Carolina and was a visiting professor at the European Institute of Business Administration (INSEAD), the University Florida, Georgetown University, and the University of Virginia. He has authored numerous articles in leading finance journals and five books on security analysis and portfolio management. He is a member of the Advisory Board of The Journal of Portfolio Management and was a trustee of over 100 mutual funds from 1982 to mandatory retirement age in 2005.
JERALD E. PINTO, PHD, CFA, is Director in of Curriculum Development at CFA Institute. Before coming to CFA Institute in 2002, he was a consultant to corporations, foundations, and partnerships in investment planning, portfolio analysis, and quantitative analysis. He has also worked in the investment and banking industries in New York City and taught finance at New York University’s Stern School of Business. He holds an MBA from Baruch College and a PhD in finance from the Stern School. Pinto obtained his CFA charter in 1992.
DENNIS W. McLEAVEY, CFA, is Head of Professional Development Products at CFA Institute. During his twenty-five-year academic career, he taught at the University of Western Ontario, the University of Connecticut, the University of Rhode Island (where he founded a student-managed fund), and Babson College. McLeavey completed a doctorate in production management and industrial engineering at Indiana University in 1972, and earned his CFA charter in 1990.
The Wiley Advantage
- Part of Wiley’s CFA Alliance, this book gives readers access to the best in professional quality information on managing their investment portfolios
- Offers readers a rich text on the different levels of the complex world of investment management, a global growth industry
- Maginn, Tuttle, McLeavey, and Pinto all carry the prestigious CFA distinction and use their expertise to update this authoritative text John Maginn – Managing Investment Portfolios (3rd Ed.)
John Maginn, Managing Investment Portfolios (3rd Ed.), Download Managing Investment Portfolios (3rd Ed.), Free Managing Investment Portfolios (3rd Ed.), Managing Investment Portfolios (3rd Ed.) Torrent, Managing Investment Portfolios (3rd Ed.) Review, Managing Investment Portfolios (3rd Ed.) Groupbuy.


Bruce Feibel – Investment Performance Measurement
Mary Hardy – Investment Guarantees
Reilly Brown – Investment Analysis & Portfolio Management
Lawrence G.McMillan – Options as a Strategic Investment
Tyler Bolhorn - 5 Steps to Investment Success
Edgar Peters – Fractal Market Analisis. Applying Chaos Theory to Investment and Economics
John Maginn – Managing Investment Portfolios (3rd Ed.)
Filippo Stefanini – Investment Strategies of Hedge Funds
Charles Jackson – Active Investment Management
Michael Reed, Barry Simon – Methods of Modern Mathematical Physics. Fournier Analysis, Self-Adjointness
Tom Yeomans – Trading the News Seminar
Aswath Damodaran - Investment Philosophies
Parviz Nikravesh – Computer Aided Analysis of Mechanical Systems
Robert L.Hagin – Investment Management
Basecamptrading - Big Fish: Mako Momentum Strategy
Carlos M.Pelaez – The Global Recession Risk
STOCK OPTIONS BASICS COURSE - Follow Me Trades
INVESTOPEDIA - TRADING FOR BEGINNERS
Ron Wells - Global Credit Management
William N.Goetzmann – An Introduction to Investment Theory
ANDREA UNGER – MASTER THE CODE & GO LIVE
Raghee Horner's Workspace Bundle + Live Trading - Simpler Trading
Murray E.Jennex – Knowledge Management
TAI LOPEZ – KNOWLEDGE SOCIETY
Carlos Usabiaga Ibanez – The Current State of Macroeconomics
Strike Zone Strategy 2.0 Elite Package - Joe Rokup - Simpler Trading
JOHN WHITING – INFINITE SALES
Maxim Finkelstein - Failure Rate Modelling for Reliabiliy & Risk
Yi Tang – Quantitative Analysis, Derivates Modeling & Trading Strategies
FREEDOM CLUB – INTERNET BUSINESS MASTERY
JORDAN KILBURN – AMAZON MILLIONAIRE MENTORSHIP PROGRAM
Carol Alexander – Market Risk Analysis Vol. III. Pricing, Hedging & Trading Financial Instruments
Cheng-Few Lee – Advances in Quantitative Finance & Accounting (Vol 4)
Salvatore J.Iacone – Write To The Point – How to Communicate in Business With Style and Purpose
John Templeton – Price Action

Reviews
There are no reviews yet.