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What is Multi Asset Class Investment Strategy (Guy/Multi) about?
THE ASSET ALLOCATION BACKGROUND As promised at the end of the last chapter, we will from now on be addressing the supply side of investment strategy -how to produce the money that we need to satisfy the demand side. This could equally well be called asset allocation, since that is effectively what investment strategy involves.Before we delve into the detail of this, however, it may be useful to set out three trends that have combined to bring asset allocation, and particularly Multi Asset Class Investing ('MAC Investing') well and truly into the spotlight over the last few years, a hot topic that seems to feature increasingly at conferences and in pensions and investment journals.Firstly, there is a growing recognition that investors need to think in terms of absolute returns rather than relative returns. Having read the first chapter you will understand that it is most unlikely that any two investors will ever have exactly the same demand side characteristics, and it is thus most unlikely that they will have exactly the same Target Rate of Return. Why then should it be logical for them to benchmark their investment performance against each other's? If both perform equally, then bo
- Author
- Guy, Fraser-Sampson
- Publisher
- John Wiley & Sons, Incorporated
- Published
- 2012
- Language
- EN
- ISBN
- 9780470027998