Autor: Dorianne Perrucci, Jerry A. Miccolis
Wydawca: Wiley
Dostępność: 3-6 tygodni
Cena: 137,55 zł
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ISBN13: |
9780470409633 |
ISBN10: |
0470409630 |
Autor: |
Dorianne Perrucci, Jerry A. Miccolis |
Oprawa: |
Paperback |
Rok Wydania: |
2009-05-08 |
Ilość stron: |
360 |
Wymiary: |
233x190 |
Tematy: |
KF |
Use allocation strategies of the pros and protect your financial future
You don′t have to be an investment expert to allocate your assets successfully. This plain–English guide demystifies the process, giving you timely advice on diversifying your investment portfolio to help insulate it against volatility. You′ll see how to develop your personal investment strategy, avoid costly mistakes, and rebalance to generate extra return.
The ABCs of asset allocation — discover how it works, why to do it, and the level of risk you′re comfortable with
Explore the different asset categories — from cash and bonds to stocks, mutual funds, exchange–traded funds, and more
Plan your investment strategy — set your portfolio constraints, outline your financial goals, and select your asset classes
Choose securities and accounts — select the best ones, understand fees and expenses, and take advantage of tax breaks
Maintain your portfolio — keep tabs on your investments, know when to rebalance, and measure your results against appropriate market benchmarks
Go beyond the basics — consider alternative investments (such as real estate and commodities), maximize after–tax results, and work with the pros when you need help
Open the book and find:
The top asset allocation mistakes
How to match the right investments with the right accounts
Ways to successfully manage risk
Best practices for portfolio rebalancing
"What if?" investment scenarios
Historical rates of return on ten asset classes and subclasses
How to project your financial future
Guidance for fine–tuning your long–term allocation plan
Spis treści:
Introduction.
Part I: Discovering the Not–So–Secret Recipe for Asset Allocation.
Chapter 1: Understanding Asset Allocation.
Chap
ter 2: Weighing Risk and Return.
Chapter 3: Making Sense of Asset Classes.
Chapter 4: Determining the Right Proportions: Your Asset Mix.
Chapter 5: Stirring the Mix: Portfolio Rebalancing.
Part II: Getting Started.
Chapter 6: Laying the Foundation for Your Plan.
Chapter 7: Developing Your Investment Strategy.
Chapter 8: Creating Your Allocation Plan.
Part III: Building and Maintaining Your Portfolio.
Chapter 9: Buying Securities.
Chapter 10: Knowing Where to Put Your Assets: Asset Location.
Chapter 11: Monitoring Your Portfolio: Rebalancing and Other Smart Strategies.
Chapter 12: Measuring Your Results.
Part IV: Going beyond the Basics.
Chapter 13: Walking to the Beat of a Different Drum: Opting for Alternative Investments.
Chapter 14: Managing Your Taxes like a Pro.
Chapter 15: Knowing When to Revise Your Plan.
Chapter 16: Finding Help When You Need It.
Part V: The Part of Tens.
Chapter 17: Ten Asset Classes and Subclasses and Their Historical Rates of Return.
Chapter 18: Ten Common Asset Allocation Mistakes.
Chapter 19: Ten Questions to Test Your Asset Allocation Know–How.
Index.
Nota biograficzna:
Jerry A. Miccolis, CFA, CFP, FCAS, MAAA, is a financial advisor, widely quoted financial author, and expert commentator who has appeared on CBS Radio and ABC–TV.
Dorianne R. Perrucci is a freelance writer who has been published in The New York Times, Newsweek, and TheStreet.com, and has collaborated on several investing books, including I.O.U.S.A., One Nation, Under Stress, In Debt (Wiley, 2008).
Okładka tylna:
Use allocation strategies of the pros and protect your financial future
You don′t have to be an investment expert to allocate your assets successfully. This plain–English guide demystifies the process, giving you timely advice on diversifying your
investment portfolio to help insulate it against volatility. You′ll see how to develop your personal investment strategy, avoid costly mistakes, and rebalance to generate extra return.
The ABCs of asset allocation — discover how it works, why to do it, and the level of risk you′re comfortable with
Explore the different asset categories — from cash and bonds to stocks, mutual funds, exchange–traded funds, and more
Plan your investment strategy — set your portfolio constraints, outline your financial goals, and select your asset classes
Choose securities and accounts — select the best ones, understand fees and expenses, and take advantage of tax breaks
Maintain your portfolio — keep tabs on your investments, know when to rebalance, and measure your results against appropriate market benchmarks
Go beyond the basics — consider alternative investments (such as real estate and commodities), maximize after–tax results, and work with the pros when you need help
Open the book and find:
The top asset allocation mistakes
How to match the right investments with the right accounts
Ways to successfully manage risk
Best practices for portfolio rebalancing
"What if?" investment scenarios
Historical rates of return on ten asset classes and subclasses
How to project your financial future
Guidance for fine–tuning your long–term allocation plan
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