PORTFOLIO MANAGEMENT 3rd Edition
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Portfolio Management by S. Kevin is a comprehensive guide to the principles and practices of managing investment portfolios. This third edition covers the fundamental concepts of asset allocation, risk assessment, and return optimization that form the backbone of modern portfolio theory.
The book addresses both theoretical frameworks and practical application, making it suitable for students, financial professionals, and investors seeking to understand how portfolios are constructed and managed. Kevin examines diversification strategies, performance measurement, and the role of different asset classes in building balanced investment approaches. The third edition reflects current market conditions and evolving investment landscapes.
Whether you're studying finance at university level or working in the financial services industry, this text provides structured analysis of portfolio principles without oversimplification.
- Third edition with updated content
- Covers asset allocation and risk management
- Suitable for finance students and professionals
- Practical focus on portfolio construction
- Educational reference for investment theory
Available for purchase with Cash on Delivery across Pakistan. We ship nationwide to your address.
