Description
John Maginn – Managing Investment Portfolios Workbook (3rd Ed.)
Description
In the Third Edition of Managing Investment Portfolios, financial experts John Maginn, Donald Tuttle, Jerald Pinto, and Dennis McLeavey provide complete coverage of the most important issues surrounding modern portfolio management.
Now, in Managing Investment Portfolios Workbook, Third Edition, they offer you a wealth of practical information and exercises that will solidify your understanding of the tools and techniques associated with this discipline. This comprehensive study guide–which parallels the main book chapter by chapter–contains challenging problems and a complete set of solutions as well as concise learning outcome statements and summary overviews.
Topics reviewed include:
- The portfolio management process and the investment policy statement
- Managing individual and institutional investor portfolios
- Capital market expectations, fixed income, equity, and alternative investment portfolio management
- Monitoring and rebalancing a portfolio
- Global investment performance standards
Table of Contents
PART I Learning Outcomes, Summary Overview, and Problems
CHAPTER 1 The Portfolio Management Process and the Investment Policy Statement 3
Learning Outcomes 4
Summary Overview 4
Problems 6
CHAPTER 2 Managing Individual Investor Portfolios 12
Learning Outcomes 12
Summary Overview 13
Problems 15
CHAPTER 3 Managing Institutional Investor Portfolios 25
Learning Outcomes 25
Summary Overview 26
Problems 28
CHAPTER 4 CapitalMarket Expectations 35
Learning Outcomes 35
Summary Overview 36
Problems 38
CHAPTER 5 Asset Allocation 47
Learning Outcomes 47
Summary Overview 48
Problems 50
CHAPTER 6 Fixed-Income Portfolio Management 60
Learning Outcomes 60
Summary Overview 61
Problems 64
CHAPTER 7 Equity Portfolio Management 69
Learning Outcomes 69
Summary Overview 70
Problems 72
CHAPTER 8 Alternative Investments Portfolio Management 76
Learning Outcomes 77
Summary Overview 78
Problems 79
CHAPTER 9 Risk Management 86
Learning Outcomes 86
Summary Overview 87
Problems 89
CHAPTER 10 Execution of Portfolio Decisions 95
Learning Outcomes 95
Summary Overview 96
Problems 97
CHAPTER 11 Monitoring and Rebalancing 102
Learning Outcomes 102
Summary Overview 103
Problems 104
CHAPTER 12 Evaluating Portfolio Performance 112
Learning Outcomes 112
Summary Overview 113
Problems 116
CHAPTER 13 Global Investment Performance Standards 121
Learning Outcomes 121
Summary Overview 122
Problems 125
PART II Solutions
CHAPTER 1 The Portfolio Management Process and the Investment Policy Statement 135
Solutions 135
CHAPTER 2 Managing Individual Investor Portfolios 140
Solutions 140
CHAPTER 3 Managing Institutional Investor Portfolios 152
Solutions 152
CHAPTER 4 CapitalMarket Expectations 160
Solutions 160
CHAPTER 5 Asset Allocation 170
Solutions 170
CHAPTER 6 Fixed-Income Portfolio Management 177
Solutions 177
CHAPTER 7 Equity Portfolio Management 183
Solutions 183
CHAPTER 8 Alternative Investments Portfolio Management 186
Solutions 186
CHAPTER 9 Risk Management 194
Solutions 194
CHAPTER 10 Execution of Portfolio Decisions 199
Solutions 199
CHAPTER 11 Monitoring and Rebalancing 205
Solutions 205
CHAPTER 12 Evaluating Portfolio Performance 210
Solutions 210
CHAPTER 13 Global Investment Performance Standards 218
Solutions 218
About the CFA Program 231
Author Information
JOHN L. MAGINN, CFA, is President of Maginn Associates, Inc. He is an adjunct professor at Creighton University.
DONALD L. TUTTLE, PHD, CFA, was vice president of CFA Institute in its Curriculum and Examinations Department from 1992 to 2004. He received his PhD from the University of North Carolina at Chapel Hill.
JERALD E. PINTO, PHD, CFA, is Director in the CFA and CIPM Programs Division at CFA Institute. He holds an MBA from Baruch College and a PhD in finance from the Stern School, and earned his CFA charter in 1992.
DENNIS W. MCLEAVEY, CFA, is Head of Professional Development Products at CFA Institute. He holds a doctorate from Indiana University and earned his CFA charter in 1990.
John Maginn, Managing Investment Portfolios Workbook (3rd Ed.), Download Managing Investment Portfolios Workbook (3rd Ed.), Free Managing Investment Portfolios Workbook (3rd Ed.), Managing Investment Portfolios Workbook (3rd Ed.) Torrent, Managing Investment Portfolios Workbook (3rd Ed.) Review, Managing Investment Portfolios Workbook (3rd Ed.) Groupbuy.


Cheng-Few Lee – Encyclopedia of Finance
Dan Miller – The Forex Legacy (theforexlegacy.com)
ACADEMY - TRADING COURSES BUNDLE
Philippe Cahen – Dynamic Technical Analysis
Mark Wolfinger – Create Your Own Hedge Fund
Radomir S.Stankovic – Fournier Analysis on Finite Groups with Aplications in Signal Processing and System Design
Robert Kiyosaki – Own Your Own Corporation
David A.Strachman – Funds of Funds Investing
Anthony Gibson - Double Top Trader Trading System
Lambert-Gann Educators - Natural Squares Calculator (Based on W.D.Gann's Square of Nine)
Eric Brief – Closers Compass
Larry Connors - Professional Day Trading for Success Program
Jeffrey T.Spooner – Stable Adaptative Control for Nonlinear Systems
Buyingbulkreo - Susan Lassiter-Lyons – Bulk REO Secrets [Real Estate]
Aspatore Books – Inside the Minds Leading Wall Street Investors
Jason Capital – Instagram Agent System
FOLLOWMETRADES – MASTER TRADER COURSE
Vladimir Cherkassky, Filip Mulier – Learning from Data. Concepts, Theory & Methods
FX Traders Classroom – Introduction To Forex Trading
Lauren Vicker – The Fast Forward MBA in Business Communication
Udemy - Complete Web Development Course + Building 5 Websites!
Moshe Levy – Microscopic Simulation of Financial Markets
Marty Kearney – LEAPS Trading Strategies - Powerful Techniques for Options Trading Success
Sellingwithsean - Sean Matheis – Mortgage Ads Pro 2.0 (Real Estate Ads Pro 2.0)
Frank Hagenstein – Investing in Corporate Bonds & Credit Risk
Terry Townsend – Cotton Trading Manual
OPTIONPIT – MAXIMIZING PROFITS WITH WEEKLY OPTIONS TRADING
ACTIVEDAYTRADER – BOND TRADING BOOTCAMP
JUSTIN SARDI – VIDEO ADS MASTERCLASS 2018
J.Peter Steidlmayer, Kevin Koy – Markets and Market Logic
ANDREA UNGER – MASTER THE CODE & GO LIVE
STOCK OPTIONS BASICS COURSE - Follow Me Trades
Geoff Cutmore - New Market Mavericks
Theotrade - Options 101 - The Basics and Beyond Class
John Ehlers - Mesa and Trading Market Cycles
Austin Passamonte Package ( Discount 25 % )
Raymond Merriman – The Ultimate Book on Stock Market Timing (VOL I) – Cycles and Patterns in the Indexes
Robert Miles – How to Build Wealth Like Warren Buffett
Jordan Belfort - Straight Line Persuasion Fast Track
Matt Radtke - AmiBroker Custom Backtester Intensive
LR Thomas – Trading Forex High ROI Scalping
George A.Fontanills - Creating the Optimal Trade for Explosive Profits
Alpesh Patel Package ( Discount 20% )
Bob Mangat – 7 Figure Agency
Options University – Ron Ianieri – Advanced Options Strategies
Stephen Floyd – Traffic Engines
Dan Kennedy - The Copywriting Clinic
Udemy - Modern React with Redux [2019 Update]
Christodoulos Floudas, Panos Pardalos – Encyclopedia of Optimization 2nd Ed
Donald Waters – Quantitative Methods for Business 5th Ed
TRIFORCE TRAINING Part 2
Ryan Deiss - Email Marketing Mastery
Craig Harris – Forex Trading Advice & Intro to The Natural Flow (craigharris-forex-education.com)
Michael Jenkins – The Geometry of Stock Market Profits
Karin Knorr Cetina – The Sociology of Financial Markets
Jian Gao – Debt Capital Markets in China
Cashflowprofitseminars - The Paper Source Note Symposium : Cash Ffow Profits 2016
Reviews
There are no reviews yet.