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A Bridge Between Classical and Behavioral Finance
by Roger G. Ibbotson, Thomas M. Idzorek, Paul D. Kaplan, James X. Xiong
160 Pages, Published 2018 by Cfa Institute Research Foundation
ISBN-13: 978-1-944960-61-2, ISBN: 1-944960-61-9

"These observations, which form the basis for the current book, are the essence of an article that predates this book, written way back in 1984, by Roger Ibbotson, Jeffrey Diermeier (then, at Brinson Partners, and now, the Diermeier Family ..."






The Equity Risk Premium
Essays and Explorations
by William N. Goetzmann, Roger G. Ibbotson
576 Pages, Published 2006 by Oxford University Press
ISBN-13: 978-0-19-988197-0, ISBN: 0-19-988197-9

"Although the Law of One Price holds for each asset in the economy, other market imperfections are expressed as some of the pricing characteristics. ... Lintner, “ The Aggregation of Investors' Diverse Judgments of Preferences in Purely Competitive Markets,” Journal of Financial and ... “An Aggregation Theorem for Securities Markets,” Journal of Financial Economics, September 1974; and Sherwin Rosen, ..."






Wiley Finance Ser.
2015 International Valuation Handbook : Guide to Cost of Capital
by James P. Harrington, Roger J. Grabowski, Carla Nunes
443 Pages, Published 2015 by John Wiley & Sons
ISBN-13: 978-1-119-07020-7, ISBN: 1-119-07020-1

"To download a free copy of “Developing the Cost of Equity Capital: Risk-Free Rate and ERP During Periods of 'Flight to ... about the latest theory and practice in cost of capital estimation, see Cost of Capital: Applications and Examples 5th edition, ... text on the subject, not only providing various estimation methods, but also numerous ways to use the cost of capital. ... In Fall 2015, we expect to publish a fourth book, Interna ..."






Asset Allocation
Balancing Financial Risk, Fifth Edition : Balancing Financial Risk, Fifth Edition: Balancing Financial Risk, Fifth Edition
by Roger C. Gibson
432 Pages, Published 2013 by Mcgraw Hill Professional
ISBN-13: 978-0-07-180419-6, ISBN: 0-07-180419-6

"I want to thank my coauthor and associate, Christopher J. Sidoni. This edition was my first experience working with a coauthor. I can say without reservation that Chris made the project much more manageable and enjoyable for me and that the ..."






Asset Allocation
Balancing Financial Risk
by Roger C. Gibson
317 Pages, Published 2000 by Mcgraw Hill Professional
ISBN-13: 978-0-07-137801-7, ISBN: 0-07-137801-4

"Gary P. Brinson, Brian D. Singer, and Gilbert L. Beebower, "Determinants of Portfolio Performance II: An Update," Financial Analysts Journal, May-June 1991, pp. 40-48. Source: Stocks, Bonds, Bills and Inflation ® 1999 Yearbook, ©."






Investment Luminaries and Their Insights
25 Years of the Research Foundation Vertin Award
by Bud Haslett
188 Pages, Published 2021 by Cfa Institute Research Foundation
ISBN-13: 978-1-952927-25-6, ISBN: 1-952927-25-0






Factor Investing and Asset Allocation
A Business Cycle Perspective
by Vasant Naik, Mukundan Devarajan, Andrew Nowobilski, Cfa Sébastien Page, Niels Pedersen
190 Pages, Published 2016 by Cfa Institute Research Foundation
ISBN-13: 978-1-944960-15-5, ISBN: 1-944960-15-5






Wiley Investment Classics Ser.
Value Averaging : The Safe and Easy Strategy for Higher Investment Returns 35
by Michael E. Edleson, William J. Bernstein
256 Pages, Published 2011 by John Wiley & Sons
ISBN-13: 978-1-118-04474-2, ISBN: 1-118-04474-6






Wiley Finance Ser.
Frontiers of Modern Asset Allocation 713
by Paul D. Kaplan
416 Pages, Published 2011 by John Wiley & Sons
ISBN-13: 978-1-118-17299-5, ISBN: 1-118-17299-X

All Authors

Roger Ibbotson

Paul Kaplan

Roger Gibson

James Xiong

Thomas Idzorek

William Goetzmann

Carla Nunes

Roger Grabowski

James Harrington

Andrew Nowobilski


All Years

2021

2018

2016

2015

2013

2011

2006

2000