Controlling Misfit Risk in Multiple-Manager Investment Programs
Item Details
Condition:
Used - Very Good
Seller:
Rating:
(15,631) 94%
Ships From:
Mishawaka, IN
Shipping:
Standard, Expedited
Comments:
Great condition for a used
book! Minimal wear. 100%
Money Back Guarantee.
Shipped ... [more] Great condition for a used
book! Minimal wear. 100%
Money Back Guarantee.
Shipped to over one
million happy customers.
Your purchase benefits
world literacy! [less]
book! Minimal wear. 100%
Money Back Guarantee.
Shipped ... [more] Great condition for a used
book! Minimal wear. 100%
Money Back Guarantee.
Shipped to over one
million happy customers.
Your purchase benefits
world literacy! [less]
Marketplace Prices
Own This Book? Sell It
ISBN-13:
Publisher: Wiley & Sons, Limited, John Summary: Controlling Misfit Risk in Multiple-Manager Investment Programs is a practical, instructive guide which offers a solution to a challenge more and more institutions are facing-misfit risk. When a sponsor uses several managers for one asset class, style biases can cause the sponsor's managers in aggregate to underperform the target despite each individual manager performing well against the manager's benchmark. In this [read more]
9780943205434
ISBN:0943205433
Pub Date: 2000Publisher: Wiley & Sons, Limited, John Summary: Controlling Misfit Risk in Multiple-Manager Investment Programs is a practical, instructive guide which offers a solution to a challenge more and more institutions are facing-misfit risk. When a sponsor uses several managers for one asset class, style biases can cause the sponsor's managers in aggregate to underperform the target despite each individual manager performing well against the manager's benchmark. In this [read more]
THE EXTRA MILE GUARANTEE
- 30-Day No-Hassle Returns
- Fast, Same-Day Customer Service
- The Best Prices on Textbook Rentals
NEED HELP PAYING FOR COLLEGE?
- Find student loan options quickly and easily
- Compare loans to find the best fit for you
- Apply for the loan that meets your needs
Product Details
ISBN-13:
ISBN:
Pub Date: 2000
Publisher: Wiley & Sons, Limited, John
9780943205434
ISBN:
0943205433
Pub Date: 2000
Publisher: Wiley & Sons, Limited, John
Controlling Misfit Risk in Multiple-Manager Investment Programs is a practical, instructive guide which offers a solution to a challenge more and more institutions are facing-misfit risk. When a sponsor uses several managers for one asset class, style biases can cause the sponsor's managers in aggregate to underperform the target despite each individual manager performing well against the manager's benchmark. In this volume, the authors provide a straightforward analytical framework for evaluating and treating this potentially costly misfit problem.
Where's My Stuff?
- Track your recent orders.
Shipping & Returns
- See our shipping rates & policies.
- Return an item (here's our Return Policy).
Need Help?

