147,99 €
inkl. MwSt.
Versandkostenfrei*
Versandfertig in 6-10 Tagen
payback
74 °P sammeln
  • Gebundenes Buch

This book responds to a growing demand for mutual funds. This timely collection of original papers focuses on changes of international investment in Europe, the US and New Zealand. Using a fresh approach, innovative techniques and various models this book assesses performance and provides an understanding of mutual funds on an international level.

Produktbeschreibung
This book responds to a growing demand for mutual funds. This timely collection of original papers focuses on changes of international investment in Europe, the US and New Zealand. Using a fresh approach, innovative techniques and various models this book assesses performance and provides an understanding of mutual funds on an international level.
Autorenporträt
KEN L. BECHMANN Associate Professor, Department of Finance, Copenhagen Business School, Denmark SILKE BER Research Assistant, Department of Finance, University of Cologne, Germany WOLFGANG BREUER Full Professor of Finance, RWTH Aachen University, Germany RADU BURLACU Associate Professor of Finance, University Pierre Mendès France, Grenoble, France EOGHAN DUFFY Worked with Valerio at Dublin City University, Republic of Ireland, where he graduated with a thesis on Performance Persistence DENIS DUPRÉ Associate Professor of Finance, University Pierre Mendès France of Grenoble, and Member of the CERAG (Centre des Recherches Appliquées à la Gestion) JOSÉ L. FERNÁNDEZ-SERRANO Researcher in Ethical Funds and Corporate Social Responsibility, Department of Business Administration, University of Cantabria, Spain JAVIER GIL-BAZO Received his BA in Business Administration and his PhD in Economics from the University of the Basque Country, Spain ISABELLE GIRERD-POTIN Associate Professor of Finance, University Pierre Mendès France of Grenoble, France, and Member of the CERAG (Centre des Recherches Appliquées à la Gestion) MARC GÜRTLER Full Professor of Finance, Technical University of Braunschweig, Germany VIJAY JOG Chancellor Professor, Carleton University in Ottawa, Canada ALEXANDER KEMPF Head of the Department of Finance, University of Cologne, Germany, Spokesman of the Graduate School of Risk Management and Board Member of the Institute of Empirical Economic andSocial Research at the University of Cologne, Germany LADISLAO LUNA Professor in Business Administration, University of Cantabria, Spain DIMITRI MARGARITIS Professor of International Finance, Auckland University of Technology, New Zealand JUAN CARLOS MATALLÍN-SÁEZ Professor in University Jaume I, Department of Finance and Accounting, Spain DAVID MORENO Professor, Department of Business and Administration, Carlos III University, Madrid, Spain ROGER OTTEN Assistant Professor of Finance, Maastricht University, The Netherlands VALERIO POTÌ Finance Lecturer, Dublin City University, Republic of Ireland JESPER RANGVID Associate Professor, Department of Finance, Copenhagen Business School, Denmark STEFAN RUENZI Assistant Professor of Finance, Department of Finance, University of Cologne, Germany PABLO RUIZ-VERDÚ Assistant Professor of Management, Department of Business Administration, Carlos III University, Madrid, Spain ROBERTO SAVONA Assistant Professor of Financial Markets and Institutions, University of Brescia, Department of Business Studies, Italy RAJEEVA SINHA Teaches Finance at the Odette School of Business, Canada ALIREZA TOURANI-RAD Chair and Professor of Finance, School of Business, Auckland University of Technology, New Zealand