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This volume investigates the fundamental terminology, mechanisms, and strategic frameworks required to navigate modern financial markets. Robert E. Stevens provides a structured reference guide designed to demystify complex investment concepts for both novice and intermediate participants. By synthesizing core economic principles with practical market applications, the text serves as a foundational resource for understanding asset allocation and risk management. The work employs a systematic approach to categorize various investment vehicles and their respective roles within a diversified portfolio.
What You Will Find
Experts frequently cite this work as a reliable, high-density reference tool for those seeking to build a strong vocabulary in financial literacy. Readers often note the clarity of the definitions, which makes the text accessible for students and individual investors alike.
Page Count:
106
Publication Date:
2006-01-01
Publisher:
Taylor & Francis Group
ISBN-10:
0203826442
ISBN-13:
9780203826447
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