En cours de chargement...
We know asset allocation theory, and reality is much different in a market meltdown. This book highlights the most critical research tied to investing in up and down market cycles, asset allocation, and investment management over the last 50 years. We start with a critical look at diversification and asset allocation; we provide an in-depth analysis of investing in stocks, make a case for index funds, and then we then provide details on two active asset allocation approaches to use to manage your asset allocation strategy going forward.