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20210611113219.0 |
010 |
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|a 2007047025
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020 |
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|a0071478094
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020 |
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|a9780071478090
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020 |
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|a9780071593908
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040 |
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|aDLC|cDLC|dBAKER|dC|dYDXCP|dDLC|dNOU
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041 |
0
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|aeng
|
050 |
00
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|aHG4529.5|b.G53 2008
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082 |
00
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|a332.6|222
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100 |
1
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|aGibson, Roger C.
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245 |
10
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|aAsset Allocation:|bBalancing Financial Risk, 4th ED/|h[electronic resource]/|cRoger C. Gibson.
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250 |
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|a4th ed.
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260 |
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|aNew York :|bMcGraw-Hill,|cc2008.
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300 |
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|axvii, 366 p. :|bill.
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440 |
0
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|amcgraw-hill e-book
|
505 |
0
|
|aThe importance of asset allocation -- U.S. capital market investment performance -- Comparative relationships among U.S. capital market investment alternatives -- Market timing -- Time horizon -- A model for determining broad portfolio balance -- Diversification: the third dimension -- Expanding the efficient frontier -- The rewards of multiple-asset-class investing -- Portfolio optimization -- Know your client -- Managing client expectations -- Portfolio management -- Resolving problems encountered during implementation.
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650 |
0
|
|aAsset allocation.
|
650 |
0
|
|aPortfolio management.
|
655 |
7
|
|aElectronic books.|2local.
|
809 |
|
|pEB|dHG4529.5|eG449|y2008
|
856 |
40
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|uhttps://lb30.libraryandbook.net/Book_detial/EB978007147809001|zClick for full text (McGrawHill)
|