Investment management : portfolio diversification, risk, and timing--fact and fiction

書誌事項

Investment management : portfolio diversification, risk, and timing--fact and fiction

Robert L. Hagin

(Wiley finance series)

J. Wiley, c2004

この図書・雑誌をさがす
注記

Includes bibliographical references and index

内容説明・目次

内容説明

A new look at the important issue of investment management in the 21st century Written for professional and private investors-as well as fiduciaries who rely on investment professionals-this book presents the content of an advanced investment-management course in an easy-to-read, question-and-answer format. Robert L. Hagin (Haverford, PA) is a 30-year investment management veteran who recently retired as Executive Director for Morgan Stanley Investment Management.

目次

PART ONE: Getting Started Your Tool Kit. CHAPTER 1: Introduction. CHAPTER 2: What You Need to Know. CHAPTER 3: Information or Noise? CHAPTER 4: Intuition. CHAPTER 5: Random Occurrences. CHAPTER 6: Law of Small Numbers. CHAPTER 7: Average Is Average. CHAPTER 8: Efficient Markets. CHAPTER 9: Random Walk. PART TWO: Avoiding Torpedoes. CHAPTER 10: Perfect Earnings Forecasts. CHAPTER 11: Can Analysts Forecast Earnings Changes? CHAPTER 12: Earnings Forecasts (and Torpedo Stocks). CHAPTER 13: Using Earnings Forecasts. CHAPTER 14: Size Effect. CHAPTER 15: Price-Earnings Effect. CHAPTER 16: The Magic of Growth. CHAPTER 17: Estimate Revisions. PART THREE: Landmark Insights. CHAPTER 18: Nobel Laureate Markowitz. CHAPTER 19: Nobel Laureate Sharpe. CHAPTER 20: Compensation for Bearing Risks. CHAPTER 21: Daring to Be Different. CHAPTER 22: Law of Active Management. CHAPTER 23: Nobel Laureate Nash and Keynes. CHAPTER 24: Nobel Laureates Kahneman and Smith. CHAPTER 25: What Guides Investors. PART FOUR: Dissecting Returns. CHAPTER 26: Luck or Skill? CHAPTER 27: Measuring Investment Returns. CHAPTER 28: Anatomy of the S&P 500. CHAPTER 29: Returns Earned by Investors. CHAPTER 30: Market Timing versus Asset Allocation. CHAPTER 31: Market Timing: Risk versus Reward. CHAPTER 32: Know the Odds Before You Play the Game. CHAPTER 33: Ten Best Days. PART FIVE: Putting the Pieces Together. CHAPTER 34: Trading Costs. CHAPTER 35: Mutual Funds. CHAPTER 36: Advantages of . . . . CHAPTER 37: Style Persistence. CHAPTER 38: Asset Allocation. CHAPTER 39: Beware of Taxes. CHAPTER 40: Beyond Active versus Passive. CHAPTER 41: Long-Term Capital Management. CHAPTER 42: To Win the Game. CHAPTER 43: Highlights. Notes. Index.

「Nielsen BookData」 より

関連文献: 1件中  1-1を表示
詳細情報
ページトップへ