This book exposes the main theories and experimental results needed to work in the area of portfolio management as a researcher or as a practionner. It criticises traditionnal models in the light of the new area of the behavioral finance. This third edition updates the preciding one.
AFTALION, F. (2008). La nouvelle finance et la gestion des portefeuilles. Economica, 248 pages.
Keywords : #Gestion-de-portefeuilles