Modern investment management an equilibrium approach

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1. Verfasser: Litterman, Robert Bruce (VerfasserIn)
Format: Buch
Sprache:English
Veröffentlicht: Hoboken, N.J. Wiley 2003
Schriftenreihe:Wiley finance series
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Online-Zugang:Contributor biographical information
Publisher description
Table of contents
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Datensatz im Suchindex

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adam_text Contents PART ONE Theory CHAPTHti Introduction: Why an Equilibrium Approach? 3 Bob Litterman CHAPTER 2 The Insights of Modern Portfolio Theory 7 Bob Litterman CHAPTERS Risk Measurement 24 Bob Litterman CHAPTER 4 The Capital Asset Pricing Model 38 Bob Litterman CHAPTBI5 The Equity Risk Premium 44 Mark M. Carhart and Kurt Winkelmann CHAPTBI6 Global Equilibrium Expected Returns 55 Bob Litterman CHAPTER 7 Beyond EquHibriuffl, the Black4Jttepinaii Approach 76 Bob Litterman PART TWO Institutional Funds CHAPTER 8 The Market PortfoRo gi Ripsy Bandourian and Kurt Winkelmann XV XVi CONTENTS CHAPTBl 9 Issues in Strategic Asset Allocation 104 Kurt Winkelmann CHAPTBl 10 Strategic Asset Allocation in the Presence of Uncertain Liabilities 110 Ronald Howard and Yoel Lax CHAPTBl 11 International Diversification and Currency Hedging 136 Kurt Winkelmann CHAPTBt12 The Value of Uncorrelated Sources of Return 152 Bob Litterman PARTTHRE Risk Budgeting CHAPTBM3 Developing an Optimal Active Risk Budget 171 Kurt Winkelmann CHAPTBl 14 Budgeting Risk along the Active Risk Spectrum 192 Andrew Alford, Robert Jones, and Kurt Winkelmann CHAPTBl 15 Risk Management and Risk Budgeting at the Total Fund Level 211 Jason Gottlieb CHAPTBtiB Covariance Matrix Estimation 224 Giorgio De Santis, Bob Litterman, Adrien Vesval, and Kurt Winkelmann CHAPTBM7 Risk Monitoring and Penfopmance Measurement 249 Jacob Rosengarten and Peter Zangari CHAPTER 18 The Need for Independent Valuation 295 Jean-Pierre Mittaz Contents XVii CHAPTHM9 Return Attribution 297 Peter Zangari CHAPTER 20 Equity Risk Factor Models 334 Peter Zangari PART FOUR Traditional Investments CHAPTFJ) 21 An Asset-Management Approach to Manager Selection 399 David Ben-Ur and Chris Vella CHAPTER 22 Investment Program Implementation: Realities and Rest Practices 407 /. Douglas Kramer CHAPTFJ123 Equity Portfolio Management 416 Andrew Alford, Robert Jones, and Terence him CHAPTFJt 24 Fixed Income Risk and Return 435 Jonathan Beinner PART FIVE Alternative Asset Classes CHAPTER 25 Global Tactical Asset Allocation 455 Mark M. Carhart CHAPTER 26 Strategic Asset Allocation and Hedge Funds 483 Kurt Winkelmann, Kent A. Clark, Jacob Rosengarten, and Tarun Tyagi CHAPTER 27 Managing a Portfolio of Hedge Funds 501 Kent A. Clark XViji CONTENTS CHAPTB28 Investing in Private Equity 516 Barry Griffiths PART SIX Private Wealth CHAPTB29 Investing for Real After-Tax Results 533 Don Mulvibill CHAPTER 30 Real, After-Tax Returns of U.S. Stocks, Bonds, and Bills, 1926 through 2001 546 Don Mulvibill CHAPTER 31 Asset Allocation and Location 565 Don Mulvibill CHAPTER 32 Equity Portfolio Structure 579 Don Mulvibill Bibliography 595 Index 605
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publishDate 2003
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series2 Wiley finance series
spellingShingle Litterman, Robert Bruce
Modern investment management an equilibrium approach
HG 4501-6051 Investment
Investments & investing
Anlagepolitik swd
Portfolio selection swd
Portfoliotheorie idsbb
Risikomanagement (Finanzmanagement) swd
Risikomanagement idsbb
Aufsatzsammlung (DE-588)4143413-4 gnd
Risikomanagement (DE-588)4121590-4 gnd
Portfoliomanagement (DE-588)4115601-8 gnd
Vermögensverwaltung (DE-588)4063089-4 gnd
subject_GND (DE-588)4143413-4
(DE-588)4121590-4
(DE-588)4115601-8
(DE-588)4063089-4
title Modern investment management an equilibrium approach
title_auth Modern investment management an equilibrium approach
title_exact_search Modern investment management an equilibrium approach
title_full Modern investment management an equilibrium approach Bob Litterman
title_fullStr Modern investment management an equilibrium approach Bob Litterman
title_full_unstemmed Modern investment management an equilibrium approach Bob Litterman
title_short Modern investment management
title_sort modern investment management an equilibrium approach
title_sub an equilibrium approach
topic HG 4501-6051 Investment
Investments & investing
Anlagepolitik swd
Portfolio selection swd
Portfoliotheorie idsbb
Risikomanagement (Finanzmanagement) swd
Risikomanagement idsbb
Aufsatzsammlung (DE-588)4143413-4 gnd
Risikomanagement (DE-588)4121590-4 gnd
Portfoliomanagement (DE-588)4115601-8 gnd
Vermögensverwaltung (DE-588)4063089-4 gnd
topic_facet HG 4501-6051 Investment
Investments & investing
Anlagepolitik
Portfolio selection
Portfoliotheorie
Risikomanagement (Finanzmanagement)
Risikomanagement
Aufsatzsammlung
Portfoliomanagement
Vermögensverwaltung
url http://www.loc.gov/catdir/bios/wiley046/2002154126.html
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http://www.loc.gov/catdir/toc/wiley031/2002154126.html
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