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Asset Allocation: Balancing Financial Risk
 
 
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Asset Allocation: Balancing Financial Risk (Hardcover)

by Roger C. Gibson (Author), John M. Templeton (Foreword) "The capital markets have changed dramatically over the last few decades..." (more)
Key Phrases: broad portfolio balance, estate separate account, volatility tolerance, Ibbotson Associates, National Association of Real Estate Investment, Morgan Stanley Capital International (more...)
4.4 out of 5 stars  (17 customer reviews)


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Editorial Reviews
Product Description
Financial experts agree: Asset allocation is the key strategies for maintaining a consistent yet superior rate of investment return. Now, Roger Gibson's Asset Allocation - the bestselling reference book on this popular subject for a decade has been updated to keep pace with the latest developments and findings. This Third Edition provides step-by-step strategies for implementing asset allocation in a high return/low risk portfolio, educating financial planning clients on the solid logic behind asset allocation, and more.

Book Info
Includes a blend of art and science that bridges the gap between modern portfolio theory and the practical issues of designing and implementing effective investment strategies. Contains guidelines to help investors develop realistic performance expectations, and more. DLC: Portfolio management.

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Product Details
  • Hardcover: 317 pages
  • Publisher: McGraw-Hill; 3rd edition (August 1, 2000)
  • Language: English
  • ISBN-10: 0071357246
  • ISBN-13: 978-0071357241
  • Product Dimensions: 9.1 x 6.3 x 1.2 inches
  • Shipping Weight: 1.4 pounds
  • Average Customer Review: 4.4 out of 5 stars  (17 customer reviews)
  • Amazon.com Sales Rank: #296,822 in Books (See Bestsellers in Books)
    (Publishers and authors: Improve Your Sales)
  • Also Available in: Hardcover (2 Sub) |  All Editions