Rodney N. Sullivan (editor)
Charlottesville, Virginia: CFA Institute, 2007
352pp, ISBN: 978-1-932495-64-5
This presents a range of practical new ideas and fundamental areas of concern in investment management from some of the leading experts in the industry. It re-evaluates some key assumptions about investments, markets, and the decision-making, and covers such topics as risk management and uncertainty, seeking value in equities, the corporate debt market, and the role of commodities in portfolios.