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Comprehensive guide covers quantitative investing from analysis to portfolio management. Provides essential grounding in financial context for real-world applicability. Review: New-ish structured handbook (Grinold and Kahn etc) for qvants. - Not a fan of his "hot takes" on social media. Great book nonetheless. Review: This book is for you if you have a degree in Finance and if you have a degree in Finance you don’t need this book, because you already know everything. I don’t know who are the target readers of this book. It is mathematically so rich that people without a finance degree will not understand it and people with a finance degree do not need it.







| Best Sellers Rank | #52,051 in Books ( See Top 100 in Books ) #18 in Business Investments #368 in Investing (Books) |
| Customer Reviews | 4.1 out of 5 stars 37 Reviews |
B**E
New-ish structured handbook (Grinold and Kahn etc) for qvants.
Not a fan of his "hot takes" on social media. Great book nonetheless.
A**N
This book is for you if you have a degree in Finance and if you have a degree in Finance you don’t need this book, because you already know everything. I don’t know who are the target readers of this book. It is mathematically so rich that people without a finance degree will not understand it and people with a finance degree do not need it.
C**S
This book is insightful but highly quantitative. Many people purchase 'quantitative investing' books and think that the 'quantitative' is 'kidding' - this one does not kid.
F**Y
Despite its title this is not a general guide to quantitative investing. It is a highly technical analysis of some very specific problems in portfolio construction.
Q**1
As someone in quantitative finance, I can attest that this book is a true rarity, a must for every quant’s shelf. It tackles complex topics with remarkable clarity, shedding light on essential knowledge that’s rarely been laid out so well—or at all. Built on years of expertise, the author delivers a superbly structured book that blends practical, down-to-earth concepts with deep, thought-provoking insights. The bulk of the content centers on portfolio construction and risk factor models, though it offers much more, covering a broad spectrum of critical topics. Tailored for practitioners (and not retail investors), this book is packed with value and leaves little to skip. It speaks to quants at all levels—approachable for those early in their career, yet rich with insights for seasoned pros. The subtle comments and notes, in particular, provide invaluable nuggets of wisdom for experienced professionals. In short, this is a must-have for anyone in the field. And it is very well-written!
N**I
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