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Your search for [subject]Portfolio management -- United States returned 11 records. |
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Portfolios of the rich.
by Carroll, Christopher D.; Cambridge: National Bureau of Economic Research, 2000.
Subject: Saving and investment -- United States; Portfolio management -- United States; Risk taking (Psychology) -- Economic aspects -- United States; Rich people -- United States; Wealth -- United States.
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Occupation-level income shocks and asset returns : their covariance and implications for portfolio choice.
by Davis, Steven J.; Cambridge: National Bureau of Economic Research, 2000.
Subject: Portfolio management -- United States; Risk perception -- United States; Rate of return -- United States; Income -- United States.
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American depositary receipts (adr) holdings of U.S. based emerging market funds.
by Aggarwal, Reena; Washington, D.C.: World Bank, 2005.
Subject: American depository receipts; Mutual funds -- United States -- Management; Portfolio management -- United States.
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Why stocks may disappoint.
by Ang, Andrew.; Cambridge: National Bureau of Economic Research, 2000.
Subject: Portfolio management -- United States; Stock price forecasting -- United States; Bonds -- Prices -- United States.
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Supply-side portfolio strategies.
New York: Quorum Books, 1988.
Subject: Investments -- United States; Portfolio management -- United States; Supply-side economics -- United States.
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Housekeeping and plumbing : the investability of emerging markets.
by Ladekarl, Jeppe; Washington, D.C.: World Bank, 2003.
Subject: Portfolio management -- United States; Portfolio management -- Great Britain; Investments, American -- Developing countries; Investments, British -- Developing countries.
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The Handbook of mortgage-backed securities.
Chicago, Ill.: Probus Pub., 1995.
Subject: Mortgage bonds - United States; Portfolio management - United States; Securities - United States.
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Have individual stocks become more volatilen : an empirical exploration of idiosyncratic risk.
Cambridge: National Bureau of Economic Research, 2000.
Subject: Stocks -- Prices -- United States -- Econometric models; Rate of return -- United States -- Econometric models; Risk management -- United States -- Econometric models; Portfolio management -- United States -- Econometric models; Stock exchanges -- United States -- Econometric models.
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On portfolio optimization : forecasting covariances and choosing the risk model.
by Chan, Louis K.C.; Cambridge: National Bureau of Economic Research, 1999.
Subject: Stocks -- Prices -- United States -- Forecasting -- Statistical methods; Portfolio management -- United States -- Statisical methods; Investment analysis -- Unitd States -- Statistical methods; Risk management -- United States -- Statistical methods.
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Active asset allocation : state-of-the-art portfolio policies, strategies & tactics.
Chicago: Probus, 1992.
Subject: Portfolio management -- United States; Corporations -- Finance; Institutional investments; Investment analysis.
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