Description

Book Synopsis

This book covers a new and innovative approach to the issue of investment portfolio efficiency from the perspective of a large institutional investor. It discusses the challenges relating to changes in returns on the international stock market, with particular emphasis on investments.

Instead of focusing on just one designated market, the book examines four diversified, developed markets, and models the Polish market as a representative of emerging markets. The authors argue that the current market for available financial instruments, mainly derivatives, may be an example of a partially complete market. With such assumptions, they test selected markets, assuming that a representative investor, such as an investment fund, makes rational decisions and uses all available financial instruments. The research conducted in the book is unique in its assumption that investors form portfolios that consider the structure of the company's financial results. The significant impact that the financial crisis in the United States since 2007, the Covid-19 pandemic, and Russia's aggression against Ukraine have had on investors' decisions is also discussed.

The book will find an audience among researchers, scholars and students specializing in finance and capital market investments.

Efficient Mutual Fund Markets

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    £50.34

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    RRP £52.99 – you save £2.65 (5%)

    Order before 4pm tomorrow for delivery by Fri 26 Jun 2026.

    A Hardback by Stanisław Urbański

    15 in stock


      View other formats and editions of Efficient Mutual Fund Markets by Stanisław Urbański

      Publisher: Taylor & Francis
      Publication Date: 5/19/2025
      ISBN13: 9781032959597, 978-1032959597
      ISBN10: 1032959592

      Description

      Book Synopsis

      This book covers a new and innovative approach to the issue of investment portfolio efficiency from the perspective of a large institutional investor. It discusses the challenges relating to changes in returns on the international stock market, with particular emphasis on investments.

      Instead of focusing on just one designated market, the book examines four diversified, developed markets, and models the Polish market as a representative of emerging markets. The authors argue that the current market for available financial instruments, mainly derivatives, may be an example of a partially complete market. With such assumptions, they test selected markets, assuming that a representative investor, such as an investment fund, makes rational decisions and uses all available financial instruments. The research conducted in the book is unique in its assumption that investors form portfolios that consider the structure of the company's financial results. The significant impact that the financial crisis in the United States since 2007, the Covid-19 pandemic, and Russia's aggression against Ukraine have had on investors' decisions is also discussed.

      The book will find an audience among researchers, scholars and students specializing in finance and capital market investments.

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