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Economics/Finances The New Science of Asset Allocation: Risk Management in a Multi-Asset World

Posted on 2010-05-09




Name:Economics/Finances The New Science of Asset Allocation: Risk Management in a Multi-Asset World
ASIN/ISBN:047053740X
Publish Date:2010
Pages:294 pages
File size:4 Mb
Publish Date: 2010
ISBN: 047053740X
Pages: 294 pages
File Type: PDF
File Size: 4 MB
Other Info: Wiley
   Economics/Finances The New Science of Asset Allocation: Risk Management in a Multi-Asset World

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Thomas Schneeweis, Garry B. Crowder, Hossein Kazemi, "The New Science of Asset Allocation: Risk Management in a Multi-Asset World"

A feasible asset allocation framework for the post 2008 financial world

Asset allocation has long been a cornerstone of prudent investment management; however, traditional allocation plans failed investors miserably in 2008. Asset allocation still remains an essential part of the investment arena, and through a new approach, you'll discover how to make it work.

In The New Science of Asset Allocation, authors Thomas Schneeweis, Garry Crowder, and Hossein Kazemi first explore the myths that plague this field then quickly move on to examine how the practice of asset allocation has failed in recent years. They then propose new allocation models that employ liquidity, transparency, and real risk controls across multiple asset classes.

Outlines a new approach to asset allocation in a post-2008 world, where risk seems hidden

The "great manager" problem is examined with solutions on how to capture manager alpha while limiting downside risk

A complete case study is presented that allocates for beta and alpha

Written by an experienced team of industry leaders and academic experts, The New Science of Asset Allocation explains how you can effectively apply this approach to a financial world that continues to change.

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