In his 14 years as Yale's chief investment officer, David Swensen has propelled the university's investment portfolio into the top one per cent of institutional funds. Here, he articulates his philosophy and strategies of portfolio management.
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David F. Swensen is the chief investment officer of Yale University and the bestselling author of Pioneering Portfolio Management. He serves on the boards of TIAA, The Brookings Institution, Carnegie Institution, and Hopkins School. At Yale, where he produced an unparalleled two-decade investment record of 16.1 percent-per-annum returns, he teaches economics classes at Yale College and finance classes at Yale?s School of Management. Mr. Swensen lives in New Haven, Connecticut.From Booklist:
Swensen has been the chief investment officer for the past 14 years at Yale University, where he is responsible for managing and investing more than $6 billion of the university's endowment assets and investment funds. Realizing an annual return of more than 16 percent on his investments, Swensen has added more than $2 billion to Yale's coffers, and his consistent track record has attracted the notice of Wall Street portfolio managers. Here Swensen provides a brief history of endowment funds and explains the purpose of endowment accumulation and the goals for institutional portfolios. One of the strategies behind his success has been to diversify asset classes and move beyond a reliance on domestic marketable securities. He distinguishes between traditional and alternative asset classes, looks at performance evaluation issues and tools, and considers the investment decision-making process. Although its audience will be limited, this book is a necessary purchase for libraries with collections that include the topic of investment management. David Rouse
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Descripción The Free Press, New York, 2000. Hardcover. Estado de conservación: New. Fourth Printing.. 366 pages. Hardcover with dustjacket. Like New. INVESTING. During his fourteen years as Yale's chief investment officer, David F. Swensen has transformed the management of the university's portfolio. Now, this acknowledged leader of fund managers draws on his experience and deep knowledge of the financial markets to provide a compendium of powerful investment strategies. Includes an Index. "This book will be a classic: it is essential reading for all investors, great and small." --Peter L. Bernstein, President, Peter L. Bernstein, Inc. (Key Words: Investment Strategies, David F. Swensen, Money, Portfolio Management, Investments, Yale University, Venture Capital, Risk, Stocks, Performance Assessment, Inflation, Bonds, Decision Making, Business, Asset Allocation). book. Nº de ref. de la librería 87822X1
Descripción Free Press. Hardcover. Estado de conservación: New. 0684864436. Nº de ref. de la librería SKU1005811
Descripción Free Press, 2000. Hardcover. Estado de conservación: New. 1. Nº de ref. de la librería DADAX0684864436
Descripción Free Press, 2000. Hardcover. Estado de conservación: New. Nº de ref. de la librería P110684864436
Descripción Free Press, 2000. Hardcover. Estado de conservación: New. book. Nº de ref. de la librería 0684864436
Descripción Hardcover. Estado de conservación: BRAND NEW. NEW Book in Mint Condition -- Great DEAL !! Fast Shipping -- Friendly Customer Service -- Buy with Confidence!. Nº de ref. de la librería RP0684864436BN
Descripción Free Press. Hardcover. Estado de conservación: New. 0684864436 New Condition. Nº de ref. de la librería NEW6.1233742