Téléchargez le livre :  Strategic Asset Allocation

Strategic Asset Allocation

Portfolio Choice for Long-Term Investors

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Éditeur :

OUP Oxford

Paru le : 2002-01-03

Academic finance has had a remarkable impact on many financial services. Yet long-term investors have received curiously little guidance from academic financial economists. Mean-variance analysis, developed almost fifty years ago, has provided a basic paradigm for portfolio choice. This approach us...
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Éditeur

Collection
n.c

Parution
2002-01-03

Pages
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EAN papier
9780191606915

Auteur(s) du livre


John Y. Campbell received a BA from Oxford in 1979 and a PhD from Yale in 1984. He spent the next ten years teaching at Princeton, moving to Harvard in 1994 to become the first Otto Eckstein Professor of Applied Economics. Campbell has co-edited the American Economic Review and the Review of Economics and Statistics; he is a Fellow of the Econometric Society and the American Academy of Arts and Sciences, and a Research Associate and former Director of the Program in Asset Pricing at the National Bureau of Economic Research. His research concerns asset markets, the macroeconomy, and the links between them. Luis M. Viceira grew up in Santa Fe, Spain, and attended undergraduate college at the Universidad Autónoma in Madrid. In 1993 he came to the United States to attend graduate school, earning a PhD from Harvard in 1998. He has been a member of the Harvard Business School faculty since 1998, where he teaches Finance in the MBA program and in the Doctoral program. He is a Faculty Research Fellow of the National Bureau of Economic Research in Cambridge (MA, USA), a Research Affiliate of the Centre for Economic Policy Research in London (UK), and an associate editor of the Spanish Economic Review. His research concerns investments and asset prices. Viceira is also a member of the Academic Advisory Board of ABP Investments in The Netherlands.

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9780191606915
Prix
66,81 €
Nombre pages copiables
0
Nombre pages imprimables
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Taille du fichier
6799 Ko

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