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Asset allocation = balancing financi...
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Gibson, Roger C.
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Asset allocation = balancing financial risk /
紀錄類型:
書目-電子資源 : Monograph/item
正題名/作者:
Asset allocation/ Roger C. Gibson.
其他題名:
balancing financial risk /
作者:
Gibson, Roger C.
出版者:
New York :McGraw-Hill, : c2008.,
面頁冊數:
xvii, 366 p. :ill.
內容註:
The importance of asset allocation -- U.S. capital market investment performance -- Comparative relationships among U.S. capital market investment alternatives -- Market timing -- Time horizon -- A model for determining broad portfolio balance -- Diversification: the third dimension -- Expanding the efficient frontier -- The rewards of multiple-asset-class investing -- Portfolio optimization -- Know your client -- Managing client expectations -- Portfolio management -- Resolving problems encountered during implementation.
標題:
Portfolio management. -
電子資源:
https://lb30.libraryandbook.net/Book_detial/EB978007147809001Click for full text (McGrawHill)
ISBN:
9780071478090
Asset allocation = balancing financial risk /
Gibson, Roger C.
Asset allocation
balancing financial risk /[electronic resource] :Roger C. Gibson. - 4th ed. - New York :McGraw-Hill,c2008. - xvii, 366 p. :ill.
The importance of asset allocation -- U.S. capital market investment performance -- Comparative relationships among U.S. capital market investment alternatives -- Market timing -- Time horizon -- A model for determining broad portfolio balance -- Diversification: the third dimension -- Expanding the efficient frontier -- The rewards of multiple-asset-class investing -- Portfolio optimization -- Know your client -- Managing client expectations -- Portfolio management -- Resolving problems encountered during implementation.
ISBN: 9780071478090
LCCN: 2007047025Subjects--Topical Terms:
646616
Portfolio management.
Index Terms--Genre/Form:
542853
Electronic books.
LC Class. No.: HG4529.5 / .G53 2008
Dewey Class. No.: 332.6
Asset allocation = balancing financial risk /
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