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Asset Allocation: Balancing Financial Risk - McGraw-Hill Library of Investment and Finance Roger Gibson 3rd edition
Asset Allocation: Balancing Financial Risk - McGraw-Hill Library of Investment and Finance
Roger Gibson
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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