Smart Portfolios: A practical guide to building and maintaining intelligent investment portfolios
暫譯: 智慧投資組合:建立與維護智能投資組合的實用指南

Robert Carver

  • 出版商: Harriman House
  • 出版日期: 2017-09-18
  • 售價: $2,230
  • 貴賓價: 9.5$2,119
  • 語言: 英文
  • 頁數: 546
  • 裝訂: Hardcover
  • ISBN: 085719531X
  • ISBN-13: 9780857195319
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商品描述

Smart Portfolios is about building and maintaining smart investment portfolios. At its heart are the three key questions every investor needs to answer:

1. What to invest in.
2. How much to invest.
3. When to make changes to a portfolio.

Author Robert Carver addresses these three areas by providing a single integrated approach to portfolio management. He shows how to follow a step-by-step process to build a multi-asset investment portfolio, and how to rebalance the portfolio efficiently. He covers both investment in collective funds like ETFs, and also direct investment in individual equities.

Important features include:

-- Why forecasting future returns is so difficult, and how to account for uncertainty when making investment decisions.
-- How to accurately calculate the true costs of an investment, including costs that you may not even be aware of.
-- How to select the best ETF for each asset class.
-- How to compare the costs and other features of different ETFs.
-- How to select individual shares.
-- Calculating the number of shares needed for adequate diversification.
-- How to use systematic forecasting algorithms to adjust portfolio allocations.
-- How to cut trading costs through smart rebalancing strategies and execution tactics.

Robert Carver also explains how to blend assets with different levels of risk, and how to construct portfolios that suit the level of risk that the investor can cope with.

Smart Portfolios is detailed, comprehensive, and full of practical methods, rules of thumb and techniques, all fully explained with examples. It is intended for professional investors worldwide, including financial advisors, private bankers, wealth managers and institutional funds; as well as experienced private investors.

商品描述(中文翻譯)

《智慧投資組合》是關於建立和維護智慧投資組合的書籍。其核心是每位投資者需要回答的三個關鍵問題:

1. 投資什麼。
2. 投資多少。
3. 何時對投資組合進行調整。

作者羅伯特·卡佛(Robert Carver)通過提供一種整合的投資組合管理方法來解決這三個領域。他展示了如何遵循逐步過程來建立多資產投資組合,以及如何有效地重新平衡投資組合。他涵蓋了對集體基金(如ETF)的投資,以及對個別股票的直接投資。

重要特點包括:

-- 為什麼預測未來回報如此困難,以及在做出投資決策時如何考慮不確定性。
-- 如何準確計算投資的真實成本,包括您可能甚至未意識到的成本。
-- 如何為每個資產類別選擇最佳的ETF。
-- 如何比較不同ETF的成本和其他特徵。
-- 如何選擇個別股票。
-- 計算為了充分分散風險所需的股票數量。
-- 如何使用系統性預測算法來調整投資組合配置。
-- 如何通過智慧的重新平衡策略和執行戰術來降低交易成本。

羅伯特·卡佛還解釋了如何將不同風險水平的資產進行混合,以及如何構建適合投資者能夠承受的風險水平的投資組合。

《智慧投資組合》內容詳盡、全面,充滿實用的方法、經驗法則和技術,所有內容均有示例詳細解釋。該書旨在面向全球的專業投資者,包括財務顧問、私人銀行家、財富管理人員和機構基金;以及經驗豐富的私人投資者。