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ASSET ALLOCATION: BALANCING FINANCIAL RISK
Asset Allocation: Balancing Financial Risk, Second Edition, is the revised edition of the best-selling reference book on asset allocation with completely updated facts and figures. Inside you'll find a comprehensive review of the capital market theory behind asset allocation, plus step-by-step guidelines for designing and implementing appropriate asset allocation strategies. This is essential reading for anyone who advises individuals and/or institutional clients regarding the investment of money.
10000539 | 332.6 GIB a | RLC MM (Rak Buku Umum) | Available |
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