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Asset Allocation (From Theory to Practice and Beyond) - 9781119817710

List Price: $39.95
SKU:
9781119817710
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  • Product Details

    Author:
    William Kinlaw, Mark P. Kritzman, David Turkington, Harry M. Markowitz
    Format:
    Hardcover
    Publisher:
    Wiley (July 27, 2021)
    Language:
    English
    Audience:
    Professional and scholarly
    ISBN-13:
    9781119817710
    Case Pack:
    20
    File:
    Wiley-wileyUS_2_1_20260615-20260615.xml
    Folder:
    Wiley
    List Price:
    $39.95
    As low as:
    $37.95
    Publisher Identifier:
    P-WIL
    Discount Code:
    D
    Pages:
    368
    Weight:
    24.8oz
    Dimensions:
    6.2" x 9.1" x 0.9"
    Country of Origin:
    United States
    Pub Discount:
    50
    Imprint:
    Wiley
  • Overview

    Discover a masterful exploration of the fallacies and challenges of asset allocation

    In Asset Allocation: From Theory to Practice and Beyond—the newly and substantially revised Second Edition of A Practitioner’s Guide to Asset Allocation—accomplished finance professionals William Kinlaw, Mark P. Kritzman, and David Turkington deliver a robust and insightful exploration of the core tenets of asset allocation.

    Drawing on their experience working with hundreds of the world’s largest and most sophisticated investors, the authors review foundational concepts, debunk fallacies, and address cutting-edge themes like factor investing and scenario analysis. The new edition also includes references to related topics at the end of each chapter and a summary of key takeaways to help readers rapidly locate material of interest.

    The book also incorporates discussions of:

    • The characteristics that define an asset class, including stability, investability, and similarity
    • The fundamentals of asset allocation, including definitions of expected return, portfolio risk, and diversification
    • Advanced topics like factor investing, asymmetric diversification, fat tails, long-term investing, and enhanced scenario analysis as well as tools to address challenges such as liquidity, rebalancing, constraints, and within-horizon risk.

    Perfect for client-facing practitioners as well as scholars who seek to understand practical techniques, Asset Allocation: From Theory to Practice and Beyond is a must-read resource from an author team of distinguished finance experts and a forward by Nobel prize winner Harry Markowitz.