An edition of Asset allocation (1989)

Asset Allocation

Balancing Financial Risk

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Asset Allocation
Roger C. Gibson
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Last edited by MARC Bot
March 7, 2023 | History
An edition of Asset allocation (1989)

Asset Allocation

Balancing Financial Risk

  • 4.00 ·
  • 1 Rating
  • 4 Want to read
  • 0 Currently reading
  • 1 Have read

The definitive guidebook for successful long-term investingThe third edition of Roger C. Gibson's Asset Allocation: Balancing Financial Risk was released in 2000 on the heels of the biggest bull market in a century and amidst talk of a new economy. The bear market that followed was the worst since 1973-1974 and resulted in the destruction of roughly half of the stock market's value. Through it all, Roger Gibson's advice to investors remained the same.Gibson once again offers techniques to design all-weather portfolios that improve long-term performance, while mitigating overall risks through widely varying market environments.Grounded in the principles of modern portfolio theory, this fourth edition of his investing classic explains how and why asset allocation works. Gibson demonstrates how adding new asset classes to a portfolio improves its risk-adjusted returns and how strategic asset allocation uses, rather than fights, the forces of capital markets to achieve investment success.Gibson also addresses the practical side of investing, advocating an approach based on a disciplined execution of the fundamentals--the most important things that investment professionals and lay investors need to focus on to achieve their financial goals. With more than two decades of experience managing clients' portfolios and expectations, he underscores the importance of identifying and working through the emotional and psychological traps that can impede investment success. In this new edition, Gibson offers his proven guidance on multiple-asset-class investing with updated exhibits and research. New topics include:A review of the 2000-2002 stock bear market in the context of bull and bear markets over the last 100 yearsAn expanded discussion of the dangers of market timingNon-traditional asset classes such as real estate securities, commodity-linked securities, and TIPS in a diversified portfolioThe challenges of "frame-of-reference" risk--the most significant danger confronting the multiple-asset-class investorThe role of Monte Carlo simulation in retirement planning

Publish Date
Language
English
Pages
448

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Previews available in: English

Edition Availability
Cover of: Asset Allocation
Asset Allocation: Balancing Financial Risk
2013, McGraw-Hill Education
in English
Cover of: Asset allocation
Asset allocation: balancing financial risk
2008, McGraw-Hill
in English - 4th ed.
Cover of: Asset allocation
Asset allocation: balancing financial risk
2008, McGraw-Hill
in English - 4th ed.
Cover of: Asset Allocation
Asset Allocation
2008, McGraw-Hill
Electronic resource in English
Cover of: Asset Allocation
Asset Allocation: Balancing Financial Risk
August 1, 2000, McGraw-Hill
in English
Cover of: Asset Allocation
Asset Allocation: Balancing Financial Risk
August 1, 2000, McGraw-Hill
Hardcover in English - 3 edition
Cover of: Asset allocation
Asset allocation: balancing financial risk
1996, Irwin Professional Pub.
in English - 2nd ed.
Cover of: Asset allocation
Asset allocation: balancing financial risk
1990, Dow Jones-Irwin, Brand: Irwin Professional Pub, Irwin Professional Pub
in English
Cover of: Asset Allocation
Asset Allocation: Balancing Financial Risk
October 1989, Irwin Professional Pub
Hardcover in English

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Book Details


Classifications

Library of Congress
HG4529.5.G53 2013, HG4529.5 .G53 2013

ID Numbers

Open Library
OL28500366M
ISBN 13
9780071804189
LCCN
2013002471
OCLC/WorldCat
828055990

Excerpts

The capital markets have changed dramatically over the last few decades.
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March 7, 2023 Edited by MARC Bot import existing book
November 13, 2020 Edited by MARC Bot import existing book
August 3, 2020 Created by ImportBot Imported from Better World Books record