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Covers the historic market events, instruments, asset classes, and economic forces that investors need to be aware of as they create asset-building portfolios. This book explains how to use modern asset allocation concepts and tools to augment returns and control risks in a wide range of financial market environments.
Helps you gain insights into why asset allocation works. This work examines the inner working of many asset allocation strategies and covers topics ranging from ways to determine the portfolio value of asset classes to insights into changing patterns of investment returns and standard deviations in different time periods and market environments.
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