Applied Financial Macroeconomics and Investment Strategy: A Practitioner’s Guide to Tactical Asset Allocation (Global Financial Markets)
This practitioner’s guide explores how financial macroeconomics can support investment strategy and tactical asset allocation. Focusing on global financial markets, it offers a broad, applied framework for readers interested in connecting economic analysis with portfolio decisions and market positioning.
About This Book
Applied Financial Macroeconomics and Investment Strategy presents a practitioner-focused perspective on the relationship between macroeconomic analysis and investment decisions.
The book centers on tactical asset allocation, emphasizing how financial and economic considerations can inform portfolio positioning.
Its global financial markets focus makes it relevant to readers seeking a broad framework for evaluating markets and investment strategy.
Written for practitioners, this guide connects applied macroeconomics with the practical challenges of investment management.
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