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LDR01092namu 2200241 k 4500
001000000233971
00520101129112924
008101129s2010 nju 001 eng
020 ▼a 9780470537404
040 ▼a 247004
049 ▼l M0439107
056 ▼a 325.83
090 ▼a 325.83 ▼b S358n
1001 ▼a Schneeweis, Thomas
24514 ▼a (The) new science of asset allocation : ▼b risk management in a multi-asset world / ▼d Thomas Schneeweis ; ▼e Garry B. Crowder ; ▼e Hossein Kazemi
260 ▼a Hoboken, N.J. : ▼b Wiley, ▼c 2010
300 ▼a 294 p. ; ▼c 24 cm.
504 ▼a Includes bibliographical references and index
5050 ▼a A brief history of asset allocation -- Measuring risk -- Alpha and beta, and the search for a true measure of manager value -- Asset classes : what they are and where to put them -- Strategic, tactical, and dynamic asset allocation -- Core and satellite investment : market/manager based alternatives -- Sources of risk and return in alternative investments.
653 ▼a Asset allocation
7001 ▼a Crowder, Garry B.
7001 ▼a Kazemi, Hossein
950 ▼b \89420