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Item Details
Title: A PRACTITIONER'S GUIDE TO ASSET ALLOCATION
By: William Kinlaw, Mark P. Kritzman, David Turkington
Format: Hardback

List price: £30.99


We currently do not stock this item, please contact the publisher directly for further information.

ISBN 10: 1119397804
ISBN 13: 9781119397809
Publisher: JOHN WILEY & SONS INC
Pub. date: 12 May, 2017
Series: Wiley Finance
Pages: 256
Description: Since the formalization of asset allocation in 1952 with the publication of Portfolio Selection by Harry Markowitz, there have been great strides made to enhance the application of this groundbreaking theory. However, progress has been uneven.
Synopsis: Since the formalization of asset allocation in 1952 with the publication of Portfolio Selection by Harry Markowitz, there have been great strides made to enhance the application of this groundbreaking theory. However, progress has been uneven. It has been punctuated with instances of misleading research, which has contributed to the stubborn persistence of certain fallacies about asset allocation. A Practitioner's Guide to Asset Allocation fills a void in the literature by offering a hands-on resource that describes the many important innovations that address key challenges to asset allocation and dispels common fallacies about asset allocation. The authors cover the fundamentals of asset allocation, including a discussion of the attributes that qualify a group of securities as an asset class and a detailed description of the conventional application of mean-variance analysis to asset allocation.. The authors review a number of common fallacies about asset allocation and dispel these misconceptions with logic or hard evidence. The fallacies debunked include such notions as: asset allocation determines more than 90% of investment performance; time diversifies risk; optimization is hypersensitive to estimation error; factors provide greater diversification than assets and are more effective at reducing noise; and that equally weighted portfolios perform more reliably out of sample than optimized portfolios. A Practitioner's Guide to Asset Allocation also explores the innovations that address key challenges to asset allocation and presents an alternative optimization procedure to address the idea that some investors have complex preferences and returns may not be elliptically distributed. Among the challenges highlighted, the authors explain how to overcome inefficiencies that result from constraints by expanding the optimization objective function to incorporate absolute and relative goals simultaneously. The text also explores the challenge of currency risk, describes how to use shadow assets and liabilities to unify liquidity with expected return and risk, and shows how to evaluate alternative asset mixes by assessing exposure to loss throughout the investment horizon based on regime-dependent risk. This practical text contains an illustrative example of asset allocation which is used to demonstrate the impact of the innovations described throughout the book. In addition, the book includes supplemental material that summarizes the key takeaways and includes information on relevant statistical and theoretical concepts, as well as a comprehensive glossary of terms.
Publication: US
Imprint: John Wiley & Sons Inc
Returns: Returnable
Some other items by this author:
A PRACTITIONER'S GUIDE TO ASSET ALLOCATION
A PRACTITIONER'S GUIDE TO ASSET ALLOCATION
ASSET ALLOCATION FOR INSTITUTIONAL PORTFOLIOS (HB)
DERIVATIVES (HB)
DICTIONARY OF FINANCIAL RISK MANAGEMENT (HB)
EQUITY VALUATION AND PORTFOLIO MANAGEMENT
EQUITY VALUATION AND PORTFOLIO MANAGEMENT
EQUITY VALUATION AND PORTFOLIO MANAGEMENT
EQUITY VALUATION AND PORTFOLIO MANAGEMENT (HB)
HARRY MARKOWITZ: SELECTED WORKS (HB)
HARRY MARKOWITZ: SELECTED WORKS (PB)
MEAN-VARIANCE ANALYSIS IN PORTFOLIO CHOICE AND CAPITAL MARKETS
MEAN-VARIANCE ANALYSIS IN PORTFOLIO CHOICE AND CAPITAL MARKETS (HB)
OPTIMAL CONSUMPTION AND INVESTMENT WITH BANKRUPTCY (HB)
PORTABLE FINANCIAL ANALYST (HB)
PORTFOLIO SELECTION (HB)
PORTFOLIO SELECTION (PB)
PRACTICAL FINANCIAL OPTIMIZATION
PRACTICAL FINANCIAL OPTIMIZATION (HB)
PRACTICAL FINANCIAL OPTIMIZATION (PB)
PRACTITIONER''S GUIDE TO ASSET ALLOCATION (HB)
PREDICTION REVISITED (HB)
PUZZLES OF FINANCE
PUZZLES OF FINANCE (HB)
PUZZLES OF FINANCE (PB)
RISK-RETURN ANALYSIS (HB)
RISK-RETURN ANALYSIS VOLUME 3 (HB)
RISK-RETURN ANALYSIS: THE THEORY AND PRACTICE OF RATIONAL INVESTING (VOLUME ONE) (HB)
THE DICTIONARY OF FINANCIAL RISK MANAGEMENT (HB)
THE FINANCIAL ANALYST'S HANDBOOK (PB)
THE FLAW OF AVERAGES
THE FLAW OF AVERAGES
THE FLAW OF AVERAGES
THE FLAW OF AVERAGES (HB)
THE FLAW OF AVERAGES (PB)
THE PORTABLE FINANCIAL ANALYST
THE PORTABLE FINANCIAL ANALYST (HB)
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT (HB)
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT WORKBOOK
THE THEORY AND PRACTICE OF INVESTMENT MANAGEMENT WORKBOOK (PB)

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