All About Asset Allocation, Second Edition
McGraw-Hill Professional (Verlag)
978-0-07-170078-8 (ISBN)
WHEN IT COMES TO INVESTING FOR YOUR FUTURE, THERE'S ONLY ONE SURE BET—ASSET ALLOCATIONTHE EASY WAY TO GET STARTED
Everything You Need to Know About How To:
Implement a smart asset allocation strategy
Diversify your investments with stocks, bonds,real estate, and other classes
Change your allocation and lock in gains
Trying to outwit the market is a bad gamble. If you're serious about investing for the long run, you have to take a no-nonsense, businesslike approach to your portfolio. In addition to covering all the basics, this new edition of All About Asset Allocation includes timely advice on:
Learning which investments work well together and why
Selecting the right mutual funds and ETFs
Creating an asset allocation that’s right for your needs
Knowing how and when to change an allocation
Understanding target-date mutual funds
"All About Asset Allocation offers advice that is both prudent and practical--keep it simple, diversify, and, above all, keep your expenses low--from an author who both knows how vital asset allocation is to investment success and, most important, works with real people." -- John C. Bogle, founder and former CEO, The Vanguard Group
"With All About Asset Allocation at your side, you'll be executing a sound investment plan, using the best materials and wearing the best safety rope that money can buy." -- William Bernstein, founder and author, The Intelligent Asset Allocator
McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide
Forward by William Bernstein
Preface and Acknowledgements
PART I – Asset Allocation Basics
Chapter 1. Planning for Investment Success
Chapter 2. Understanding Investment Risk
Chapter 3. Asset Allocation Explained
Chapter 4. Multi-asset Class Investing
PART II – Asset Class Selection
Chapter 5. A Framework for Investment Selection
Chapter 6. US Equity Investments
Chapter 7. International Equity Investments
Chapter 8. Fixed Income Investments
Chapter 9. Real Estate Investments
Chapter 10. Alternative Investments
PART III – Managing Your Portfolio
Chapter 11. Realistic Market Expectations
Chapter 12. Selecting Your Asset Allocation
Chapter 13. When to Change Your Asset Allocation
Chapter 14. How Behavior Affects Asset Allocation Decisions
Chapter 15. Portfolio Management Guidelines
Appendix
Glossary of Terms
Index
Erscheint lt. Verlag | 16.8.2010 |
---|---|
Zusatzinfo | 0 Illustrations |
Sprache | englisch |
Maße | 158 x 226 mm |
Gewicht | 454 g |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung |
ISBN-10 | 0-07-170078-1 / 0071700781 |
ISBN-13 | 978-0-07-170078-8 / 9780071700788 |
Zustand | Neuware |
Haben Sie eine Frage zum Produkt? |
aus dem Bereich