The endowment model of investing return, risk, and diversification
tarafından
Leibowitz, Martin L., 1936-
Başlık
:
The endowment model of investing return, risk, and diversification
Yazar
:
Leibowitz, Martin L., 1936-
ISBN
:
9780470481769
9780470608425
9781118266533
9780470608449
9780470608432
Yayın Bilgileri
:
Hoboken, N.J. : John Wiley & Sons, c2010.
Fiziksel Tanımlama
:
1 online resource (xvii, 334 p.) : ill.
Seri
:
Wiley finance series
Wiley finance series.
Özet
:
A cutting-edge look at the endowment model of investing. Many larger endowments and foundations have adopted a broadly diversified asset allocation strategy with only a small amount of traditional U.S. equities and bonds. This technique, known as the "endowment model of investing," has demonstrated consistent long-term performance and attracted the attention of numerous institutional and individual investors. With The Endowment Model of Investing Leibowitz, Bova, and Hammond take a closer look at the endowment model with customary research sophistication and attention to detail. Thro.
Konu Terimleri
:
Institutional investments.
Portfolio management.
Yazar Ek Girişi
:
Bova, Anthony, 1978-
Hammond, P. Brett.
Elektronik Erişim
:
| Kütüphane | Materyal Türü | Demirbaş Numarası | Yer Numarası | [[missing key: search.ChildField.HOLDING]] | Durumu/İade Tarihi |
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| Çevrimiçi Kütüphane | E-Kitap | 318967-1001 | ONLINE(318967.1) | | Elektronik Kütüphane |