Please use this identifier to cite or link to this item: https://hdl.handle.net/10356/20048
Title: Asset allocation : an analytical approach.
Authors: Tan, Peter.
Keywords: DRNTU::Business::Finance::Assets
Issue Date: 1996
Abstract: Maximization of risk adjusted return is ephemeral, and the continual challenge is to ascertain a suitable asset allocation. Portfolio manager is always faced with the dilemma of tailoring a customer's portfolio and the dynamic change in the financial arena. This has been further complicated by the increasing legal proceedings by frustrated investors with regard to the improper handling of their account.
URI: http://hdl.handle.net/10356/20048
Rights: NANYANG TECHNOLOGICAL UNIVERSITY
Fulltext Permission: restricted
Fulltext Availability: With Fulltext
Appears in Collections:NBS Theses

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