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Instructor’s Solution Manual for Managing Investment Portfolios: A Dynamic Process, 3rd Edition, John L. Maginn, Donald L. Tuttle, Dennis W. McLeavey, Jerald Pinto,
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Table of Contents
Foreword xiii
Preface xvii
Acknowledgments xix
Introduction xxi
CHAPTER 1 The Portfolio Management Process and the Investment Policy Statement 1
1 Introduction 1
2 Investment Management 2
3 The Portfolio Perspective 4
4 Portfolio Management as a Process 4
5 The Portfolio Management Process Logic 5
6 Investment Objectives and Constraints 11
7 The Dynamics of the Process 17
8 The Future of Portfolio Management 18
9 The Ethical Responsibilities of Portfolio Managers 18
CHAPTER 2 Managing Individual Investor Portfolios 20
1 Introduction 20
2 CaseStudy 21
3 Investor Characteristics 24
4 Investment Policy Statement 34
5 An Introduction to Asset Allocation 50
CHAPTER 3 Managing Institutional Investor Portfolios 63
1 Overview 63
2 PensionFunds 64
3 Foundations and Endowments 85
4 The Insurance Industry 101
5 Banks and Other Institutional Investors 120
CHAPTER 4 Capital Market Expectations 128
1 Introduction 128
2 Organizing the Task: Framework and Challenges 129
3 Tools for Formulating Capital Market Expectations 146
4 Economic Analysis 174
CHAPTER 5 Asset Allocation 230
1 Introduction 230
2 What is Asset Allocation? 231
3 Asset Allocation and the Investors Risk and Return Objectives 236
4 The Selection of Asset Classes 248
5 The Steps in Asset Allocation 254
6 Optimization 257
7 Implementing the Strategic Asset Allocation 296
8 Strategic Asset Allocation for Individual Investors 299
9 Strategic Asset Allocation for Institutional Investors 307
10 Tactical Asset Allocation 320
CHAPTER 6 Fixed-Income Portfolio Management 328
1 Introduction 328
2 A Framework for Fixed-Income Portfolio Management 329
3 Managing Funds Against a Bond Market Index 331
4 Managing Funds Against Liabilities 346
5 Other Fixed-Income Strategies 369
6 International Bond Investing 390
7 Selecting a Fixed-Income Manager 402
CHAPTER 7 Equity Portfolio Management 407
1 Introduction 407
2 The Role of the Equity Portfolio 408
3 Approaches to Equity Investment 410
4 Passive Equity Investing 412
5 Active Equity Investing 429
6 Semiactive Equity Investing 455
7 Managing a Portfolio of Managers 458
8 Identifying, Selecting, and Contracting with Equity Portfolio Managers 466
9 Structuring Equity Research and Security Selection 474
CHAPTER 8 Alternative Investments Portfolio Management 477
1 Introduction 477
2 Alternative Investments: Definitions, Similarities, and Contrasts 478
3 Real Estate 485
4 Private Equity/Venture Capital 498
5 Commodity Investments 516
6 Hedge Funds 530
7 Managed Futures 557
8 Distressed Securities 568
CHAPTER 9 Risk Management 579
1 Introduction 579
2 Risk Management as a Process 580
3 Risk Governance 583
4 Identifying Risks 585
5 Measuring Risk 596
6 Managing Risk 624
CHAPTER 10 Execution of Portfolio Decisions 637
1 Introduction 637
2 The Context of Trading: Market Microstructure 638
3 The Costs of Trading 653
4 Types of Traders and Their Preferred Order Types 663
5 Trade Execution Decisions and Tactics 666
6 Serving the Clients Interests 678
7 Concluding Remarks 681
CHAPTER 11 Monitoring And Rebalancing 682
1 Introduction 682
2 Monitoring 683
3 Rebalancing the Portfolio 701
4 Concluding Remarks 716
CHAPTER 12 Evaluating Portfolio Performance 717
1 Introduction 717
2 The Importance of Performance Evaluation 718
3 The Three Components of Performance Evaluation 719
4 Performance Measurement 720
5 Benchmarks 731
6 Performance Attribution 744
7 Performance Appraisal 766
8 The Practice of Performance Evaluation 775
CHAPTER 13 Global Investment Performance Standards 783
1 Introduction 783
2 Background of the GIPS Standards 784
3 Provisions of the GIPS Standards 792
4 Verification 840
5 GIPS Advertising Guidelines 845
6 Other Issues 847
Appendix: GIPS Glossary 856
Glossary 864
References 888
About the CFA Program 903
About the Authors 904
Index 913
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