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The Sector Strategist: Using New Asset Allocation Techniques to Reduce Risk and Improve Investment Returns

ISBN: 978-1-118-17190-5
Hardcover
218 pages
April 2012
US $49.95 Add to Cart

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The Sector Strategist: Using New Asset Allocation Techniques to Reduce Risk and Improve Investment Returns (111817190X) cover image
Other Available Formats: E-book

Introduction 1

CHAPTER 1 The Return Dilemma 5

CHAPTER 2 Sector Allocations 29

CHAPTER 3 The Health Care Sector 51

CHAPTER 4 The Energy Sector 73

CHAPTER 5 The Consumer Staples Sector 89

CHAPTER 6 The Technology Sector 107

CHAPTER 7 The Financial Sector 125

CHAPTER 8 Bonds, REITs, and Commodities 145

CHAPTER 9 Fundamental Analysis 163

CHAPTER 10 The Selection Process 185

CHAPTER 11 The Right Allocation 197

Endnotes 209

About the Author 213

Index 215

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The Sector Strategist: Using New Asset Allocation Techniques to Reduce Risk and Improve Investment Returns (US $49.95)

-and- Financial Statement Analysis Workbook: A Practitioner's Guide, 4th Edition (US $29.95)

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