Streetwise : The Best of The Journal of Portfolio Management
معرفی کتاب «Streetwise : The Best of The Journal of Portfolio Management» نوشتهٔ James M Poterba، Ronald N Kahn، George G Kaufman، Mark Kritzman، Ronald Lanstein، Cynthia M Latta، Martin L Leibowitz، Kenneth N Levy، Roland Lochojf، Richard W McEnally، Kenneth R Meyer، Edward M Miller Jr، Andre F Perold، Pierre Pieraerts، Robert H Jeffrey، Kenneth Reid، Robert R Reitano، Richard Roll، Ban Rosenberg، Robert Schweitzer، Christina Seix، Bruno Solnik، Lawrence H Summers، Alden L Toevs، Alden Toevs، Jack L Treynor، Alfred Weinberger، Randall C Zisler، Chris P Dialynas، David M Cutler، Roger Clarke، Mark Rubinstein، Andrew Rudd، Stephen A Ross، Ravi Akhoury، Robert D Arnott، Gary L Bergstrom، Peter L Bernstein، G O Bierwag، Fischer Black، Richard Bookstaber، Kenneth Cholerton، Robert Ferguson، Peter O Dietz، David H Edington، Madeline W Einhorn، Jeremy Evnine، Frank J Fabozzi، Paul M Firstenberg، H Russell Fogler، Francois Garrone، Robin Grieves، Richard C Grinold، Donald J Hardy، David P Jacob و Bruce I Jacobs، منتشرشده توسط نشر Princeton University Press در سال 2021. این کتاب در 6 صفحه، فرمت pdf، زبان انگلیسی ارائه شده است.
__Streetwise__ brings together classic articles from the publication that helped revolutionize the way Wall Street does business. During the recession of the early 1970s, investment professionals turned to the theories of a small band of mathematical economists, whose ideas on such topics as portfolio development and risk management eventually led to the reform and maintenance of entire economies. This was the first time economists and practitioners had joined forces to such remarkable effect. Economist and money manager Peter Bernstein sought to encourage this exchange when, in 1974, he founded __The Journal of Portfolio Management__ (JPM). For this present volume, Bernstein and JPM editor Frank Fabozzi have selected forty-one of the most influential articles to appear in the journal over the past twenty-five years, some of them written by Nobel laureates and all aimed at stimulating dialogue between academic economists wishing to understand the real-world problems of finance and investment professionals wanting to bring the most advanced theoretical work to bear on commerce. Financial economics is a youthful but vital field. __Streetwise__ not only reflects its fascinating history but through articles on topics ranging from stock prices and risk management to bonds and real estate also offers relevant insights for today. The contributors are: R. Akhoury, R. D. Arnott, G. L. Bergstrom, G. O. Bierwag, F. Black, R. Bookstaber, K. Cholerton, R. Clarke, D. M. Cutler, C. P. Dialynas, P. O. Dietz, D. H. Edington, M. W. Einhorn, J. Evnine, R. Ferguson, P. M. Firstenberg, H. R. Fogler, F. Garrone, R. Grieves, R. C. Grinold, D. J. Hardy, D. P. Jacob, B. I. Jacobs, R. H. Jeffrey, R. N. Kahn, G. G. Kaufman, M. Kritzman, R. Lanstein, C. M. Latta, M. L. Leibowitz, K. N. Levy, R. Lochoff, R. W. McEnally, K. R. Meyer, E. M. Miller, A. F. Perold, P. Pieraerts, J. M. Poterba, K. Reid, R. R. Reitano, R. Roll, B. Rosenberg, S. A. Ross, M. Rubinstein, A. Rudd, P. A. Samuelson, R. Schweitzer, C. Seix, W. F. Sharpe, B. Solnik, L. H. Summers, A. L. Toevs, J. L. Treynor, A. Weinberger, and R. C. Zisler. Streetwise Brings Together Classic Articles From The Publication That Helped Revolutionize The Way Wall Street Does Business. During The Recession Of The Early 1970s, Investment Professionals Turned To The Theories Of A Small Band Of Mathematical Economists, Whose Ideas On Such Topics As Portfolio Development And Risk Management Eventually Led To The Reform And Maintenance Of Entire Economies. This Was The First Time Economists And Practitioners Had Joined Forces To Such Remarkable Effect. Economist And Money Manager Peter Bernstein Sought To Encourage This Exchange When, In 1974, He Founded The Journal Of Portfolio Management (jpm). For This Present Volume, Bernstein And Jpm Editor Frank Fabozzi Have Selected Forty-one Of The Most Influential Articles To Appear In The Journal Over The Past Twenty-five Years, Some Of Them Written By Nobel Laureates And All Aimed At Stimulating Dialogue Between Academic Economists Wishing To Understand The Real-world Problems Of Finance And Investment Professionals Wanting To Bring The Most Advanced Theoretical Work To Bear On Commerce.--book Jacket. The Implementation Shortfall : Paper Versus Reality (spring 1988) / André F. Perold. Peter L. Bernstein, And Frank J. Fabozzi, Editors. A Selection Of Articles Previously Published In The Journal Of Portfolio Management Over A Period Of Nearly 25 Years. Includes Bibliographical References.