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Seller: Blue Vase Books, Interlochen, MI, U.S.A.
Condition: good. The item shows wear from consistent use, but it remains in good condition and works perfectly. All pages and cover are intact including the dust cover, if applicable . Spine may show signs of wear. Pages may include limited notes and highlighting. May NOT include discs, access code or other supplemental materials.
Hardcover. Condition: Fair. No Jacket. Readable copy. Pages may have considerable notes/highlighting. ~ ThriftBooks: Read More, Spend Less.
Seller: thebookforest.com, San Rafael, CA, U.S.A.
Condition: Like New. hardcover. Text block, pages, boards and binding are pristine. Dust wrapper is like new. Supporting Bay Area Friends of the Library since 2010. Well packaged and promptly shipped.
Seller: World of Books (was SecondSale), Montgomery, IL, U.S.A.
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Condition: New.
Language: English
Published by John Wiley and Sons Inc, US, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
Seller: Rarewaves USA, OSWEGO, IL, U.S.A.
Hardback. Condition: New. 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 similarityThe fundamentals of asset allocation, including definitions of expected return, portfolio risk, and diversificationAdvanced 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.
Language: English
Published by John Wiley and Sons Inc, US, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
Seller: Rarewaves.com USA, London, LONDO, United Kingdom
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Add to basketHardback. Condition: New. 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 similarityThe fundamentals of asset allocation, including definitions of expected return, portfolio risk, and diversificationAdvanced 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.
Seller: Brook Bookstore On Demand, Napoli, NA, Italy
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Seller: AproposBooks&Comics, London, United Kingdom
First Edition
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Seller: GreatBookPricesUK, Woodford Green, United Kingdom
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Language: English
Published by John Wiley & Sons Inc, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
Seller: Kennys Bookshop and Art Galleries Ltd., Galway, GY, Ireland
First Edition
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Published by John Wiley & Sons Inc, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
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Published by John Wiley & Sons Inc, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
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Add to basketHardcover. Condition: Brand New. 2nd edition. 356 pages. 9.57x6.30x0.87 inches. In Stock.
Language: English
Published by John Wiley & Sons Inc, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
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Add to basketHardcover. Condition: Brand New. 2nd edition. 356 pages. 9.57x6.30x0.87 inches. In Stock.
Seller: Ubiquity Trade, Miami, FL, U.S.A.
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Language: English
Published by John Wiley and Sons Inc, US, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
Seller: Rarewaves USA United, OSWEGO, IL, U.S.A.
Hardback. Condition: New. 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 similarityThe fundamentals of asset allocation, including definitions of expected return, portfolio risk, and diversificationAdvanced 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.
Language: English
Published by John Wiley and Sons Inc, US, 2021
ISBN 10: 1119817714 ISBN 13: 9781119817710
Seller: Rarewaves.com UK, London, United Kingdom
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Quantity: Over 20 available
Add to basketHardback. Condition: New. 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 similarityThe fundamentals of asset allocation, including definitions of expected return, portfolio risk, and diversificationAdvanced 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.