Asset Management: A Systematic Approach to Factor Investing (Financial Management Association Survey and Synthesis)
by Andrew Ang
Andrew Ang presents a systematic perspective on asset management and factor investing in this Financial Management Association Survey and Synthesis volume. Focused on investment strategy, portfolio management, and financial management, the book offers readers a structured reference for understanding factor-based approaches to investing.
About This Book
Asset Management: A Systematic Approach to Factor Investing presents a structured examination of asset management through the lens of factor investing.
Written by Andrew Ang, the book belongs to the Financial Management Association Survey and Synthesis series.
Its focus is relevant to readers interested in investment strategy, portfolio management, and the broader principles of financial management.
The systematic approach makes this a focused reference for exploring how factor-based thinking fits within asset management.
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