This is an authoritative, accessible, and concise book on both concepts and practices in multi-asset investing.
The contributors are among the best and brightest minds in this business. Some of them are well-known quants, and they have collaborated to produce this book in plain English with few formulas. As such, all investment decision makers—no matter the size of their portfolios or their level of familiarity with calculus and linear algebra—should find this book relevant to their fields. Readers should be able to finish each chapter in 10-20 minutes as well.
Read the complete white paper at the link beneath Related Links