Moustafaev,Jamal
 2016
 Perpustakaan Jabatan
ISBN 
 9781498769242
Excerpt: 
Project Portfolio Management In Theory And Practice :  Thirty Case Studies From Around The World /
Relevance: 
0.7447
 Lustig, Yoram.
 Planning, constructing and managing a multi-asset portfolio A multi-asset investment management approach provides diversification benefits, enhances risk-adjusted returns and enables a portfolio to be tailored to a wide range of investing objectives, whether these are generating returns or income, or matching liabilities. This book is divided into four parts that follow the four stages of the multi-asset investment management process: 1. Establishing objectives: Defining the return objectives, risk objectives and investment constraints of a portfolio. 2. Setting an investment strategy: Setting a plan to achieve investment objectives by thinking about long-term strategic asset allocation, combining asset classes and optimisation to derive the most efficient asset allocation. 3. Implementing a solution: Turning the investment strategy into a portfolio using short-term tactical asset allocation, investment selection and risk management. This section includes examples of investment strategies. 4. Reviewing: Evaluating the performance of a portfolio by examining results, risk, portfolio positioning and the economic environment. By dividing the multi-asset investment process into these well-defined stages, Yoram Lustig guides the reader through the various decisions that have to be made and actions that have to be taken. He builds carefully from defining investment objectives, formulating an investment strategy and the steps of selecting investments, leading to constructing and managing multi-asset portfolios. At each stage the considerations and strategies to be undertaken are detailed, and the description of the process is supported with relevant financial theory as well as practical, real-life examples. 'Multi-asset Investing' is an essential handbook for the modern approach to investment portfolio management.
 2013
 Perpustakaan Kuala Lumpur
ISBN 
 9780857192516
Excerpt: 
Multi-asset investing : a practical guide to modern portfolio management / Lustig, Yoram. 
Relevance: 
0.7447
 Dyregrov, Atle
 2012
 Perpustakaan Kuala Lumpur
ISBN 
 9781118117699
Excerpt: 
Quantitative credit portfolio management : practical innovations for measuring and controlling
Relevance: 
0.7447
 Davies, Greg B. Arnaud de Servigny
 2011
 Perpustakaan Kuala Lumpur
ISBN 
 9780071746601
Excerpt: 
Behavioral investment management :    an efficient alternative to modern portfolio theory /  
Relevance: 
0.7447
 Moore, Derek
 2018
 Perpustakaan Kuala Lumpur, Cawangan Taman Tun Dr Ismail
ISBN 
 9781787435544
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Sam Phoen
 2018
 Perpustakaan Kuala Lumpur
ISBN 
 9789814828307
Excerpt: 
Portfolio management.
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0.0000
 Fisher, Kenneth L.,    author. Dellinger, Elisabeth,    author
 2015
 Perpustakaan Kuala Lumpur Perpustakaan Jabatan Perpustakaan Kuala Lumpur, Cawangan Taman Tun Dr Ismail
ISBN 
 9781118973059
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Wasik, John F.,   author.
 2014
 Perpustakaan Kuala Lumpur
ISBN 
 9780071815475
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Markowitz, H.    (Harry),    1927- Blay, Kenneth
 2014
 Perpustakaan Kuala Lumpur Perpustakaan Jabatan
ISBN 
 9780071817936
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Pascualy, Putri
 2014
 Perpustakaan Kuala Lumpur
ISBN 
 9780071829038
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Sander, Peter J.,   author.
 2014
 Perpustakaan Kuala Lumpur
ISBN 
 9780071819848
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Sander, Peter J.
 2013
 Perpustakaan Kuala Lumpur
ISBN 
 9789670484563
Excerpt: 
Portfolio management.
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0.0000
 Rogers, Jim
 2013
 Perpustakaan Kuala Lumpur Perpustakaan Kuala Lumpur, Cawangan Taman Tun Dr Ismail Perpustakaan Jabatan Perpustakaan Kuala Lumpur, Cawangan Bandar Baru Sentul
ISBN 
 9780307986078
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Stevenson, David (Investment columnist), author.
 2013
 Perpustakaan Kuala Lumpur
ISBN 
 9781118457092
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Arnold, Glen.
 2013
 Perpustakaan Kuala Lumpur
ISBN 
 9780273771227
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Gibson, Roger C.
 2013
 Perpustakaan Kuala Lumpur
ISBN 
 9780071804189
Excerpt: 
Portfolio management.
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0.0000
 Fabozzi, Frank J.
 2013
 Perpustakaan Kuala Lumpur
ISBN 
 9780132743549
Excerpt: 
Portfolio management.
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0.0000
 Richards, Carl, 1972-
 Financial planner and Morningstar Advisor columnist Richards explains why we keep making bad choices with our money based on our emotions and succeeds in showing us howwhat we often think is right regarding investments rarely is.
 2012
 Perpustakaan Kuala Lumpur Perpustakaan Kuala Lumpur, Cawangan Taman Tun Dr Ismail
ISBN 
 9781591844648
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Fisher, Kenneth L. Hoffmans, Lara.
 2012
 Perpustakaan Kuala Lumpur Perpustakaan Kuala Lumpur, Cawangan Taman Tun Dr Ismail Perpustakaan Kuala Lumpur, Cawangan Bandar Baru Sentul
ISBN 
 9781118091548
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Chen, Dennis A. (Dennis Anthony), 1970- Sebastian, Mark, 1978-
 2012
 Perpustakaan Jabatan
ISBN 
 9780132823401
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Perez, Edgar
 2011
 Perpustakaan Kuala Lumpur
ISBN 
 9780071768283
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Bhuyan, Vishaal B., 1983-
 2011
 Perpustakaan Jabatan
ISBN 
 9780132485074
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Faith, Curtis M.
 2009
 Perpustakaan Kuala Lumpur Perpustakaan Kuala Lumpur, Cawangan Taman Tun Dr Ismail
ISBN 
 9780071602433
Excerpt: 
Portfolio management.
Relevance: 
0.0000
 Bindseil, Ulrich Gonzalez, Fernando Tabakis, Evangelos
 2009
ISBN 
 9781107403567
Excerpt: 
Portfolio management.
Relevance: 
0.0000
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