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Asset Allocation : Balancing Financial Risk by Roger C. Gibson (1996, Hardcover)

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eBay item number:257018072924

Item specifics

Condition
Like new
A book that looks new but has been read. Cover has no visible wear, and the dust jacket (if applicable) is included for hard covers. No missing or damaged pages, no creases or tears, and no underlining/highlighting of text or writing in the margins. May be very minimal identifying marks on the inside cover. Very minimal wear and tear. See the seller’s listing for full details and description of any imperfections. See all condition definitionsopens in a new window or tab
Seller notes
“Excellent Condition”
Personalized
No
ISBN
9781556237997

About this product

Product Identifiers

Publisher
McGraw-Hill School Education Group
ISBN-10
1556237995
ISBN-13
9781556237997
eBay Product ID (ePID)
195110

Product Key Features

Number of Pages
262 Pages
Language
English
Publication Name
Asset Allocation : Balancing Financial Risk
Publication Year
1996
Subject
Accounting / General, Investments & Securities / General, Personal Finance / General
Features
Revised
Type
Textbook
Author
Roger C. Gibson
Subject Area
Business & Economics
Format
Hardcover

Dimensions

Item Height
1.1 in
Item Weight
18.4 Oz
Item Length
9.1 in
Item Width
6.3 in

Additional Product Features

Edition Number
2
Intended Audience
Scholarly & Professional
LCCN
96-011273
Dewey Edition
20
Dewey Decimal
332.6
Edition Description
Revised edition
Synopsis
This work provides a review of the capital market theory behind asset allocation, as well as step-by-step guidelines for designing and implementing appropriate investment strategies. The critical dimensions of asset allocation are covered, and a framework is provided for making decisions.
LC Classification Number
HG4529.5.G53 1996

Item description from the seller

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Papa Coli Resale

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