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Economics/Finances Global Asset Allocation: New Methods and Applications By Heinz Zimmermann, Wolfgang Drobetz, Peter Oertmann [Reup]
Posted on 2010-09-25
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More Heinz Zimmermann, Wolfgang Drobetz, Peter Oertmann, «Global Asset Allocation: New Methods and Applications (Wiley Finance)» Praise for Global Asset Allocation "In the critical field of global portfolio optimization, this volume is not only a technical tour de force, but also provides excellent access to state-of-the-art concepts for practitioners. It represents an important resource for those who manage institutional and individual portfolios as it is for those who want the latest applied research in international finance." –Ingo Walter, Charles Simon Professor of Applied Business Economics & Sidney Homer Director, New York University Salomon left Stern School of Business, New York University "The authors apply modern statistical modeling of time-varying risk and return to the study of global asset allocation. They offer empirical results and methodologies that shed light on the benefits of international diversification." –Prof. Bruno Solnik, Finance and Economics Department, HEC Paris "This book presents an amazing variety of empirical findings on stock and bond returns in many national markets. Combining economic intuition and econometric rigor, the academic scholar and the portfolio manager will find a treasure of important insights and get very valuable advice for global asset allocation." –Prof. Gunter Franke, Universität Konstanz, Fachbereich Wirtschaftswissenschaften From the Inside Flap The increase in international investment activity is a natural consequence of the overall globalization of economies as well as the international financial system. The critical question that many, if not all, financial professionals have about this brave new investment world is: How are portfolio diversification strategies affected by the evolving global investment landscape? In Global Asset Allocation: New Methods and Applications, Heinz Zimmermann, Wolfgang Drobetz, and Peter Oertmann answer this and many other critical questions about a global investment environment that consists of more countries, more sectors, more companies, and more financial instruments with each passing day. Whether you’re a portfolio manager or financial analyst, Global Asset Allocation has the information you need to make the decisions you’re responsible for. This book takes a close look at the most sophisticated global asset allocation methods and techniques currently available, and provides you with cutting-edge advances in the methods, practice, and implementation of global asset allocation investment strategies. Global Asset Allocation thoroughly examines a wide range of asset pricing models, discusses international asset allocation, and explores empirical studies of global asset allocation strategies. It also investigates whether emerging stock markets can be seen as integrated parts of the developed worldwide stock markets, and whether global sector diversification strategies produce risk-return patterns different from asset allocation rules defined in terms of national markets. But that’s not all. This comprehensive guide also analyzes the performance of strategies exploiting a specific investment style within a global asset allocation pricing framework–by implementing active style rotation strategies. You’ll also be introduced to the Black-Litterman model and learn how it can be used to improve global asset allocation decisions. Filled with in-depth insights and expert advice, this invaluable resource will allow you to use advanced methods for global asset pricing and portfolio decisions in practical, real-world situations. Investment in global financial markets is growing with great speed. Global Asset Allocation will help you keep up. | | Mirror Allowed
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