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Multi-Asset Investing

A Practitioner's Framework
Book Hero Magic crafted this summary to help describe this book. While it's new and still learning, it may not be perfect - your feedback is welcome! Summary
Multi-Asset Investing explores the intricacies of managing and investing across various asset classes. The book provides insights into strategic allocation and diverse investment opportunities, focusing on the integration of behavioural finance and risk management. It aims to equip investors with the tools necessary to improve portfolio performance and adapt to dynamic financial landscapes.
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Format: Hardback
$16499
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Book Hero Magic created this recommendation. While it's new and still learning, it may not be perfect - your feedback is welcome! IS THIS YOUR NEXT READ?

This book may appeal to you if you're interested in diversifying your investment portfolio across various asset classes. It provides insights into the dynamics of multi-asset investing, offering strategies and risk management techniques essential for modern finance enthusiasts.

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Despite the accepted fact that a substantial part of the risk and return of any portfolio comes from asset allocation, we find today that the majority of investment professionals worldwide are focused on security selection.

Book Hero Magic formatted this description to make it easier to read. While it's new and still learning, it may not be perfect - your feedback is welcome! Description

Despite the accepted fact that a substantial part of the risk and return of any portfolio comes from asset allocation, we find today that the majority of investment professionals worldwide are focused on security selection. Multi-Asset Investing: A Practitioner’s Framework questions this basic structure of the investment process and investment industry.

  • Who says we have to separate alpha and beta?
  • Are the traditional definitions for risk and risk premium relevant in a multi-asset class world?
  • Do portfolios cater for the ‘real risks’ in their investment processes?
  • Does the whole Emerging Markets demarcation make sense for investing?
  • Why do active Asian managers perform much poorer compared to developed market managers?
  • Can you distinguish how much of a strategy’s performance comes from skill rather than luck?
  • Does having a performance fee for your manager create alignment or misalignment?
  • Why is the asset management transitioning from multi-asset strategies to multi-asset solutions?

These and many other questions are asked, and suggestions provided as potential solutions. Having worked together for fifteen years, the authors present implementable solutions which have helped them successfully manage large asset pools.

The Academic Perspective

Multi-Asset Investing asks fundamental questions about the asset allocation investment processes in use today, and can have a substantial impact on the future structure of the finance industry. It clarifies and distils the techniques that investment professionals need to master to add value to client portfolios.

—Paul Smith, President & CEO, CFA Institute

Pranay Gupta, Sven Skallsjo, and Bing Li describe the essential concepts and applications of multi-asset investing. Their treatment is far ranging and exceptionally lucid, and always with a nod to practical application. Buy this book and keep it close at hand.

—Mark Kritzman, MIT Sloane School of Management

Innovative solutions to some of the most difficult investment problems we are faced with today. Multi-asset Investing tackles investment issues which don’t have straightforward solutions, but nevertheless are faced by every investment professional. This book sets the standard for investment processes of all asset managers.

—SP Kothari, MIT Sloane School of Management

The Asset Owner Perspective

Multi-asset means different things to different people. This is the first text that details a comprehensive framework for managing any kind of multi-asset investment problem. Further, its explanation of the commercial aspects of managing a multi-asset investment business for an asset manager, private bank or asset owner make it an indispensable tool.

—Sadayuki Horie, Dy. Chairman - Investment Advisory Comm., Government Pension Investment Fund, Japan

Multi-Asset Investing shows the substantial scope there is to innovate the asset allocation process. With its novel approaches to allocation, portfolio construction and risk management, it demonstrates the substantial value that can be added to any portfolio. The solutions proposed by Multi-Asset Investing are creative, thought provoking, and may well be the way all portfolios need to be managed in the future.

—Mario Therrien, Senior Vice President, Caisse de Depot et Placement du Quebec, Canada

The Asset Manager’s Perspective

Never has astute asset allocation and diversification been more crucial than today. Asset Managers who are able to innovate their investment processes and products in this area are more likely to be the winners. Multi-Asset Investing provides both simple and sophisticated, tested and implementable techniques for successfully managing multi-asset portfolios.

—Vincent Camerlynck, former CEO BNP Paribas Investment Partners, Asia Pacific

The Investment Strategist Perspective

For plan sponsors, portfolio managers, analysts and risk managers, Multi-Asset Investing is an unparalleled guide for portfolio management. Its approach to blending the quantitative and fundamental, top-down and bottom-up, and the risk and return frameworks makes it a valuable tool for any kind of investment professional. It clarifies a complex subject into a series of practical ideas to help add value to any portfolio.

—Ajay S. Kapur, Chief Strategist, BOA Merrill Lynch Asia

Book Details

INFORMATION

ISBN: 9781119241522

Publisher: John Wiley & Sons Inc

Format: Hardback

Date Published: 13 May 2016

Country: United States

Imprint: John Wiley & Sons Inc

Audience: Professional and scholarly

DIMENSIONS

Spine width: 23.0mm

Width: 178.0mm

Height: 249.0mm

Weight: 612g

Pages: 304

About the Author

PRANAY GUPTA has over 25 years of experience in managing multi-asset and multi-strategy portfolios of up to US$85 billion across the world for asset managers, sovereign wealth funds, insurance companies, pension plans, endowments and high-net-worth individuals. He has served as the Chairman of the Investment Committee at the CFA Institute Research Foundation and has been awarded as the Best Discretionary Asset Manager in Asia.

SVEN R. SKALLSJÖ has designed and developed risk models at Ignis Asset Management, AGL Structured Finance and Shell Asset Management.

BING LI is the president of BC Capital Management Ltd., a Hong Kong-based firm providing investment solutions for high-net-worth individuals in mainland China.

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