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Asset Allocation: Balancing Financial Risk

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This classic resource has been revised and updated to reflect the latest data affecting asset allocation. Noted expert, Roger Gibson, provides a thorough review of the capital market theory behind asset allocation, plus step-by-step guidelines for designing and implementing appropriate investment strategies.

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Asset Allocation: Balancing Financial Risk
2007, McGraw-Hill, New York, NY

ISBN-13: 9780071478090

4th edition

Hardcover

Asset Allocation: Balancing Financial Risk
2000, McGraw-Hill Companies, New York, NY

ISBN-13: 9780071357241

3rd Revised edition

Hardcover

Asset Allocation: Balancing Financial Risk
1996, Irwin Professional Publishing, Chicago, IL

ISBN-13: 9781556237997

2nd Revised edition

Hardcover

Asset Allocation: Balancing Financial Risk
1989, McGraw-Hill Professional Publishing

ISBN-13: 9781556231643

Hardcover

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