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Author Ilmanen, Antti, 1961- author. https://id.oclc.org/worldcat/entity/E39PCjFqJTx8FTcgr3Bt7qpJcK

Title Investing amid low expected returns : making the most when markets offer the least / Antti Ilmanen.

Publication Info. Hoboken, New Jersey : John Wiley & Sons, Inc., [2022]
©2022

Copies

Location Call No. Status
 Farmington, Barney Branch - Adult Department  332.6 ILMA    Check Shelf
Description xv, 285 pages : illustrations ; 27 cm
Bibliography Includes bibliographical references (pages [259]-275) and index.
Summary "Investing Amid Low Expected Returns: Making the Most When Markets Offer the Least provides an evidence-based blueprint for successful investing when decades of market tailwinds are turning into headwinds. For a generation, falling yields and soaring asset prices have boosted realized returns. However, this past windfall leaves retirement savers and investors now facing the prospect of record-low future expected returns. Emphasizing this pressing challenge, the book highlights the role that timeless investment practices - discipline, humility, and patience - will play in enabling investment success. It then assesses current investor practices and the body of empirical evidence to illuminate the building blocks for improving long-run returns in today's environment and beyond. It concludes by reviewing how to put them together through effective portfolio construction, risk management, and cost control practices."--Publisher.
Contents Introduction -- The secular low expected return challenge -- Major investor types and their responses to this challenge -- Liquid asset class premia -- Illiquidity premia -- Style premia -- Alpha and its cousins -- Theories explaining long-run return sources -- Sustaining conviction and patience on long-run return sources -- Four equations and predictive techniques -- Diversification -- its power and its dark sides -- Portfolio construction -- RIsk management -- ESG investing -- Costs and fees -- Tactical timing on medium-term expected returns -- Bad habits and good practices -- Concluding remarks.
Subject Portfolio management.
Financial risk management.
Rate of return.
Saving and investment.
Financial risk management (OCoLC)fst01739657
Portfolio management (OCoLC)fst01072072
Rate of return (OCoLC)fst01090236
Saving and investment (OCoLC)fst01105959
Other Form: ebook version : 9781119860204
ISBN 9781119860198 (hbk.)
1119860199 (hbk.)
9781119860204 (ePub ebook)
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