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Sinopsis

The Standard for Portfolio Management- Second Edition continues to recognize good practices in the discipline of portfolio management. With new knowledge areas it helps portfolio managers "do the right work.". It includes: two new Knowledge Areas: Portfolio Risk Management and Portfolio Governance and has greater emphasis on these areas means increased awareness of the opportunity costs throughout the process and an increased focus on delivering results

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Reseña del editor

The Standard for Portfolio Management- Second Edition continues to recognize good practices in the discipline of portfolio management. With new knowledge areas it helps portfolio managers "do the right work.". It includes: two new Knowledge Areas: Portfolio Risk Management and Portfolio Governance and has greater emphasis on these areas means increased awareness of the opportunity costs throughout the process and an increased focus on delivering results

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