TY - BOOK AU - Stewart,Scott Dudley AU - Piros,Christopher Dixon AU - Heisler,Jeffrey TI - Running money: professional portfolio management T2 - The McGraw-Hill/Irwin series in finance, insurance, and real estate SN - 9780073530581 (alk. paper) AV - HG4529.5 .S72 2011 U1 - 332.6 22 PY - 2011///] CY - New York, NY PB - McGraw-Hill Irwin KW - Portfolio management KW - Investments N1 - Includes bibliographical references (p. 548-553) index; Chapter 1: IntroductionChapter 2: Client Objectives for Managing Diversified PortfoliosChapter 3: Asset Allocation: The Mean Variance FrameworkChapter 4: Asset Allocation InputsChapter 5: Advanced Topics in Asset AllocationChapter 6: The Investment Management ProcessChapter 7: Introduction to Equity Portfolio InvestingChapter 8: Equity Portfolio ConstructionChapter 9: Fixed Income Portfolio ManagementChapter 10: Internal InvestingChapter 11: Alternative Investment ClassesChapter 12: Portfolio Management Through Time: Taxes and Transaction CostsChapter 13: Performance Measurement and AttributionChapter 14: Incentives, Ethics and PolicyChapter 15: Investor and Client BehaviorChapter 16: Managing Client RelationshipsAppendixesReferencesGlossary N2 - Focuses on the business investment decision-making from the perspective of the portfolio manager. This title intends to expose students to what it is really like to 'run money' professionally by providing the necessary tools ER -