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Asset Management

Език Английски езикАнглийски език
Книга С твърди корици
Книга Asset Management Andrew Ang
Код Либристо: 04537027
Издателство Oxford University Press Inc, октомври 2014
Stocks and bonds? Real estate? Hedge funds? Private equity? If you think those are the things to foc... Цялото описание
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348 лв
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Stocks and bonds? Real estate? Hedge funds? Private equity? If you think those are the things to focus on in building an investment portfolio, Andrew Ang has accumulated a body of research that will prove otherwise. In his new book Asset Management: A Systematic Approach to Factor Investing, Ang upends the conventional wisdom about asset allocation by showing that what matters aren't asset class labels but the bundles of overlapping risks they represent. Making investments is like eating a healthy diet, Ang says: you've got to look through the foods you eat to focus on the nutrients they contain. Failing to do so can lead to a serious case of malnutrition-for investors as well as diners. The key, in Ang's view, is bad times, and the fact that every investor's bad times are somewhat different. The notion that bad times are paramount is the guiding principle of the book, which offers a new approach to the age-old problem of where do you put your money? Years of experience, both as a finance professor and as a consultant, have led Ang to see that the traditional approach, with its focus on asset classes, is too crude and ultimately too costly to serve investors adequately. He focuses instead on "factor risks," the peculiar sets of hard times that cut across asset classes, and that must be the focus of our attention if we are to weather market turmoil and receive the rewards that come with doing so. Optimally harvesting factor premiums-on our own or by hiring others-requires identifying your particular set of hard times, and exploiting the difference between them and those of the average investor. Clearly written yet chock-full of the latest research and data, Asset Management will be indispensable reading for trustees, professional money managers, smart private investors, and business students who want to understand the economics behind factor risk premiums, harvest them efficiently in their portfolios, and embark on the search for true alpha.

Информация за книгата

Пълно заглавие Asset Management
Автор Andrew Ang
Език Английски език
Корици Книга - С твърди корици
Дата на издаване 2014
Брой страници 720
Баркод 9780199959327
ISBN 0199959323
Код Либристо 04537027
Издателство Oxford University Press Inc
Тегло 1146
Размери 174 x 248 x 41
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