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DYNAMIC ASSET ALLOCATION: STRATEGIES FOR THE STOCK, BOND, AND MONEY MARKETS
Includes an examination of traditional asset allocation methods, why they do and do not work, and which elements can be used in overseeing the professional's own portfolio. In addition, the author introduces his own proven method of portfolio management and asset allocation strategies--the ``7-Step System''--using simple statistical techniques to forecast stock, bond, commodity, and money market returns. Free of complex mathematics, charts, graphs, and technical jargon, this is a highly readable guide to getting the most from today's sophisticated investment techniques.
10000945 | 332.6 HAM d | RLC MM (Rak Buku Umum) | Available |
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