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This book focuses on the application of mathematics and statistics to compile an investment portfolio. It covers a wide range of assets. It also gives valuation methods and considers characteristics of each valuation method and asset. It's written so that people with little statistical knowledge can follow difficult topics, but also delves a bit deeper for someone who wants to know the nitty gritty details. I would recommend this book to anyone who is interested in investment and want to understand the way investments work.
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