The Intelligent asset allocator : how to build your portfolio to maximize returns and minimize risk
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00000001514 | HG4529.5 .B47 2001 | (General Book) | Available - Ada |
Teaches the reader straightforward method for earning exceptional returns and minimizing risk when investing. Explains how to manage a personal diversified account, how to assess how risk according to personal needs, and the fundamental relationship between risk and reward in financial markets.Table of Contents General Considerations.Risk and Return.The Behavior of Multiple-Asset Portfolios.The Behavior of Real-World Portfolios.Optimal Asset Allocations.Market Efficiency.Odds and Ends.Implementing Your Asset Allocation Strategy.Investment Resources.Appendices.
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HG4529.5 .B47 2001
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Publisher Place | New York |
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xv, 207p.: ill.; 24cm.
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Language |
English
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ISBN/ISSN |
0071362363
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Classification |
HG4501-6051
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No other version available