Asset allocation : balancing financial risk / Roger C. Gibson.
Asset allocation : balancing financial risk / Roger C. Gibson.
About this item
Full title
Author / Creator
Publisher
Chicago : Irwin Professional Pub., c1996.
Call Numbers
N332.6/80
Record Identifier
MMS ID
Language
English
Formats
Physical Description
Physical content
xv, 262 p. : ill. ; 24 cm.
Contents
Ch. 1. The Importance of Asset Allocation -- Ch. 2. Historical Review of Capital Market Investment Performance -- Ch. 3. Comparative Relationships among Capital Market Investment Alternatives -- Ch. 4. Market Timing -- Ch. 5. Time Horizon -- Ch. 6. A Model for Determining Broad Portfolio Balance --...
Publication information
Publisher
Chicago : Irwin Professional Pub., c1996.
Edition
2nd ed.
Place of Publication
Illinois
Date Published
c1996.
Subjects
More information
Scope and Contents
Summary
Asset Allocation: Balancing Financial Risk, Second Edition, is the revised edition of the best-selling reference book on asset allocation with completely updated facts and figures. Inside you'll find a comprehensive review of the capital market theory behind asset allocation, plus step-by-step guidelines for designing and implementing appropriate a...
Alternative Titles
Full title
Asset allocation : balancing financial risk / Roger C. Gibson.
Authors, Artists and Contributors
Author / Creator
Notes
General note
Includes index.
Contextual Information
Date Copyright
c1996.
Identifiers
Primary Identifiers
Call Numbers
N332.6/80
Record Identifier
74VM5l5aGAMM
Permalink
https://devfeature-collection.sl.nsw.gov.au/record/74VM5l5aGAMM
Other Identifiers
ISBN
1556237995
9781556237997
DDC
332.6
MMS ID
991003831849702626