Foundations of Financial Markets

About The Book

This book Foundations of Financial Markets: Analysis and Strategies for Financial Portfolio Management offers a comprehensive understanding of financial markets and the strategies used in managing investment portfolios. It begins by explaining the principles of financial investment the structure and functions of financial markets and the various types of financial instruments. The book then explores key concepts like risk and return portfolio theory and the efficiency of financial markets. It also discusses various financial models including the Capital Asset Pricing Model (CAPM) the Fama-French Three-Factor Model and other advanced portfolio management strategies. Throughout the book emphasizes both theoretical foundations and practical applications providing valuable tools for analyzing market conditions making informed investment decisions and assessing portfolio performance. It is aimed at students researchers and professionals in the fields of finance and investment management.
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