Portfolio Rebalancing

Portfolio Rebalancing

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LF/739701/R
English
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The goal of Portfolio Rebalancing is to provide mathematical and empirical analysis of the effects of portfolio rebalancing on portfolio returns and risks. The mathematical analysis answers the question of when and why fixed-weight portfolios might outperform buy-and-hold portfolios based on volatilities and returns. The empirical analysis, aided by mathematical insights, will examine the effects of portfolio rebalancing in capital markets for asset allocation portfolios and portfolios of stocks, bonds, and commodities.
LF/739701/R

Data sheet

Name of the Author
Edward E. Qian
Language
English
Series
Financial Mathematics
ISBN
9781315120676
Release date
2019

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Portfolio Rebalancing

The goal of Portfolio Rebalancing is to provide mathematical and empirical analysis of the effects of portfolio rebalancing on portfolio returns and risks. T...

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