Asset Allocation: Balancing Financial Risk - McGraw-Hill Library of Investment and Finance - Roger Gibson - Books - McGraw-Hill Education - Europe - 9780071357241 - August 16, 2000
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Asset Allocation: Balancing Financial Risk - McGraw-Hill Library of Investment and Finance 3rd edition


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Dispensing with luck, market timing, and "Buy low, sell high" sleights of hand, this book aims to outline sensible decisions that all investors can make on their own. It includes: a risk-adjusted model for striking the best portfolio balance between equity and fixed-income securities; guidelines to help clients ignore short-term fears; and more.


317 pages, 47 Illustrations, unspecified

Media Books     Hardcover Book   (Book with hard spine and cover)
Released August 16, 2000
ISBN13 9780071357241
Publishers McGraw-Hill Education - Europe
Pages 317
Dimensions 158 × 231 × 28 mm   ·   617 g

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