Commercial Bank's Investment Portfolio
Details
Commercial Bank's Investment Portfolio describes the theoretical principles and provides ideas what could be improved in this complex area- portfolio management and exactly- bank's investment portfolio. The book is learning and examines the main stages of the investment process, pricing, portfolio theory and strategies for portfolio management, active and passive. The publication consists of two parts: The External Factors When Managing the Commercial Bank's Investment Portfolio and the Way of banking development aboard- branches or subsidiaries. These are two separate articles with different problems.Each article is written analytically as the exhibition is the result of the present experience of the author. Articles dealing with problems in innovative investment would be of interest to anyone seeking original in Investment and Banking.
Autorentext
Bozhana Venediktova,PhD Student:Studied Finance at University of National and World Economy.Assistant and researcher at University of National and World Economy, Sofia.Worked at Siemens,Bulgaria as business administration. Main subjects:Stock Markets,Banking,Bank Risk Management,financing of international trade.She has others academic publications.
Weitere Informationen
- Allgemeine Informationen
- GTIN 09783659194634
- Auflage Aufl.
- Sprache Englisch
- Größe H220mm x B220mm
- Jahr 2012
- EAN 9783659194634
- Format Kartonierter Einband (Kt)
- ISBN 978-3-659-19463-4
- Titel Commercial Bank's Investment Portfolio
- Autor Bozhana Venediktova , Daniela Staneva
- Untertitel The External Factors When Managing the Commercial Bank s Investment Portfolio
- Herausgeber LAP Lambert Academic Publishing
- Anzahl Seiten 84
- Genre Wirtschaft