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Multi-Asset Investing
A Practical Guide to Modern Portfolio Management
Taschenbuch von Yoram Lustig
Sprache: Englisch

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Planning, constructing and managing a multi-asset portfolio

A multi-asset investment management approach provides diversification benefits, enhances risk-adjusted returns and enables a portfolio to be tailored to a wide range of investing objectives, whether these are generating returns or income, or matching liabilities.

This book is divided into four parts that follow the four stages of the multi-asset investment management process:

1. Establishing objectives: Defining the return objectives, risk objectives and investment constraints of a portfolio.

2. Setting an investment strategy: Setting a plan to achieve investment objectives by thinking about long-term strategic asset allocation, combining asset classes and optimisation to derive the most efficient asset allocation.

3. Implementing a solution: Turning the investment strategy into a portfolio using short-term tactical asset allocation, investment selection and risk management. This section includes examples of investment strategies.

4. Reviewing: Evaluating the performance of a portfolio by examining results, risk, portfolio positioning and the economic environment.

By dividing the multi-asset investment process into these well-defined stages, Yoram Lustig guides the reader through the various decisions that have to be made and actions that have to be taken. He builds carefully from defining investment objectives, formulating an investment strategy and the steps of selecting investments, leading to constructing and managing multi-asset portfolios.

At each stage the considerations and strategies to be undertaken are detailed, and the description of the process is supported with relevant financial theory as well as practical, real-life examples.

'Multi-asset Investing' is an essential handbook for the modern approach to investment portfolio management.

Planning, constructing and managing a multi-asset portfolio

A multi-asset investment management approach provides diversification benefits, enhances risk-adjusted returns and enables a portfolio to be tailored to a wide range of investing objectives, whether these are generating returns or income, or matching liabilities.

This book is divided into four parts that follow the four stages of the multi-asset investment management process:

1. Establishing objectives: Defining the return objectives, risk objectives and investment constraints of a portfolio.

2. Setting an investment strategy: Setting a plan to achieve investment objectives by thinking about long-term strategic asset allocation, combining asset classes and optimisation to derive the most efficient asset allocation.

3. Implementing a solution: Turning the investment strategy into a portfolio using short-term tactical asset allocation, investment selection and risk management. This section includes examples of investment strategies.

4. Reviewing: Evaluating the performance of a portfolio by examining results, risk, portfolio positioning and the economic environment.

By dividing the multi-asset investment process into these well-defined stages, Yoram Lustig guides the reader through the various decisions that have to be made and actions that have to be taken. He builds carefully from defining investment objectives, formulating an investment strategy and the steps of selecting investments, leading to constructing and managing multi-asset portfolios.

At each stage the considerations and strategies to be undertaken are detailed, and the description of the process is supported with relevant financial theory as well as practical, real-life examples.

'Multi-asset Investing' is an essential handbook for the modern approach to investment portfolio management.

Über den Autor
Yoram Lustig
Inhaltsverzeichnis
About the Author
Acknowledgements
Preface
Introduction
Part 1: Establishing Objectives
Introduction
1. Return Objectives
2. Benchmarks
3. Risk Objectives
4. Rational or Irrational Markets
5. The Relationship Between Reward and Risk
6. Investment Constraints
Part 2: Setting an Investment Strategy
Introduction
7. Strategic Asset Allocation
8. Historical Performance of Asset Classes
9. Combining Asset Classes
10. Diversification
11. Capital Market Assumptions
12. Optimisation
Part 3: Implementing a Solution
Introduction
13. Tactical Asset Allocation
14. Forecasting
15. Economic Cycle
16. Investment Selection
17. Investment Selection Process
18. Active Versus Passive Investments
19. Investment Vehicles
20. Single-Manager Versus Multi-Manager
21. Single Asset Classes
22. Investment Management Process
23. Portfolio Construction
24. Implementation
25. Derivatives
26. Currency
27. Risk Budgeting
28. Risk Management
29. Investment Strategies
Part 4: Reviewing
30. Portfolio Review
31. Performance Attribution
Conclusion
Bibliography
Endnotes
Index
Details
Erscheinungsjahr: 2013
Fachbereich: Allgemeines
Genre: Wirtschaft
Rubrik: Recht & Wirtschaft
Medium: Taschenbuch
Seiten: 538
ISBN-13: 9780857192516
ISBN-10: 0857192515
Sprache: Englisch
Ausstattung / Beilage: Paperback
Einband: Kartoniert / Broschiert
Autor: Lustig, Yoram
Hersteller: Harriman House Ltd
Maße: 234 x 156 x 29 mm
Von/Mit: Yoram Lustig
Erscheinungsdatum: 07.01.2013
Gewicht: 0,807 kg
preigu-id: 106321564
Über den Autor
Yoram Lustig
Inhaltsverzeichnis
About the Author
Acknowledgements
Preface
Introduction
Part 1: Establishing Objectives
Introduction
1. Return Objectives
2. Benchmarks
3. Risk Objectives
4. Rational or Irrational Markets
5. The Relationship Between Reward and Risk
6. Investment Constraints
Part 2: Setting an Investment Strategy
Introduction
7. Strategic Asset Allocation
8. Historical Performance of Asset Classes
9. Combining Asset Classes
10. Diversification
11. Capital Market Assumptions
12. Optimisation
Part 3: Implementing a Solution
Introduction
13. Tactical Asset Allocation
14. Forecasting
15. Economic Cycle
16. Investment Selection
17. Investment Selection Process
18. Active Versus Passive Investments
19. Investment Vehicles
20. Single-Manager Versus Multi-Manager
21. Single Asset Classes
22. Investment Management Process
23. Portfolio Construction
24. Implementation
25. Derivatives
26. Currency
27. Risk Budgeting
28. Risk Management
29. Investment Strategies
Part 4: Reviewing
30. Portfolio Review
31. Performance Attribution
Conclusion
Bibliography
Endnotes
Index
Details
Erscheinungsjahr: 2013
Fachbereich: Allgemeines
Genre: Wirtschaft
Rubrik: Recht & Wirtschaft
Medium: Taschenbuch
Seiten: 538
ISBN-13: 9780857192516
ISBN-10: 0857192515
Sprache: Englisch
Ausstattung / Beilage: Paperback
Einband: Kartoniert / Broschiert
Autor: Lustig, Yoram
Hersteller: Harriman House Ltd
Maße: 234 x 156 x 29 mm
Von/Mit: Yoram Lustig
Erscheinungsdatum: 07.01.2013
Gewicht: 0,807 kg
preigu-id: 106321564
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