MAC投资:多元资产级别投资策略方法MULTI ASSET CLASS INVESTMENT STRATEGY

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  • 版 次:1
  • 页 数:300
  • 字 数:
  • 印刷时间:2006年12月01日
  • 开 本:
  • 纸 张:胶版纸
  • 包 装:精装
  • 是否套装:否
  • 国际标准书号ISBN:9780470027998
作者:Guy Fraser-Sampson 著出版时间:2006年12月 
内容简介
The book explains that instead of asset allocation being set in an isolated and arbitrary fashion, it is in fact the way in which specific hurdle investment returns can be targeted, and that this approach is already in use in the US (and has been for many years). It involves extended and detailed financial analysis of various asset class returns and proposes a five-asset class approach for future use.
Opening with a study of the historic asset allocation practice of UK pension funds, the book shows how the current approach has led to the present funding crisis. It goes on to compare and contrast the UK approach with that of the US and to propose a new approach to UK asset allocation: the five asset class approach ("MAC Investing”).
The book reviews and analyses different asset classes based on historic returns, examines risk, and concludes with a suggestion of the five asset classes to use; Quoted equities (both Domestic and foreign), hedge funds, private equity and property. This book also includes benchmark performance figures never previously published.
目  录
Introduction
Acknowledgements
1 Investment Strategy
What is strategy?
What is investment strategy?
Planning to achieve the objective
1 Real and artificial liabilities
2 Mapping the liability cashflows
3 Total funding
4 The escalator factor
5 Putting it together
Conclusions
Summary
2 Multi Asset Class Investing

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