Strategic asset allocation : portfolio choice for long-term investors /
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TextSeries: Clarendon Lectures in EconomicsPublication details: New York : Oxford University Press, 2002.Description: xii, 257 pISBN: - 0198296940
- 9780198296942
- 332.6 CAM
- HG4529.5 .C35 2002
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| 332.6 BRU Analysts, lies, and statistics : | 332.6 BUF The new Buffettology / | 332.6 BUF The essays of Warren Buffett : | 332.6 CAM Strategic asset allocation : | 332.6 CUT Quantitative financial economics : | 332.6 DEM Introduction to private equity / | 332.6 DON The three Rs of investing : |
Includes bibliographical references (p. [226]-240) and indexes.
This book seeks to develop the intertemporal approach into an empirical paradigm that can compete with the standard mean-variance analysis. The book shows that long-term inflation-indexed bonds are the riskless asset for long-term investors, it explains the conditions under which stocks are safer assets for long-term than for short-term investors, and it shows how labor income influences portfolio choice. These results shed new light on the rules of thumb used by financial planners. The book explains recent advances in both analytical and numerical methods, and shows how they can be used to understand the portfolio choice problems of long-term investors.
rpm 16/09/16
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