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1 |
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|a Gibson, Roger C.
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1 |
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|a Asset allocation :
|b balancing financial risk /
|c Roger C. Gibson.
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250 |
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|a 3rd ed.
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260 |
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|a New York :
|b McGraw-Hill,
|c ©2000.
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300 |
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|a 1 online resource (xvi, 317 pages) :
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|a Includes index.
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|a Chapter 1: The Importance of Asset Allocation -- Chapter 2: Historical Review of Capital Market Investment Performance -- Chapter 3: Comparative Relationships Among Capital Market Investment Alternatives -- Chapter 4: Market Training -- Chapter 5: Time Horizon -- Chapter 6: A Model for Determining Broad Portfolio Balance -- Chapter 7: Diversification: The Third Dimension -- Chapter 8: The Rewards of Multiple-Asset-Class Investing -- Chapter 9: Portfolio Optimization -- Chapter 10: Know Your Client -- Chapter 11: Managing Client Expectations -- Chapter 12: Money Management -- Chapter 13: Resolving Problems Encountered During Implementation.
|
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|a Print version record.
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650 |
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|a Portfolio management.
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650 |
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|a Asset allocation.
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650 |
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7 |
|a Asset allocation.
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|i Print version:
|a Gibson, Roger C.
|t Asset allocation.
|b 3rd ed.
|d New York : McGraw-Hill, ©2000
|z 0071357246
|w (DLC) 00029949
|w (OCoLC)43657145.
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|z Full Text (via EBSCO)
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