Book description
An in-depth overview of investing in the real world
In Goals-Based Portfolio Theory, award-winning Chartered Financial Analyst® Franklin J. Parker delivers an insightful and eye-opening discussion of how real people can navigate the financial jungle and achieve their financial goals. The book accepts the reality that the typical investor has specific funding requirements within specified periods of time and a limited amount of wealth to dedicate to those objectives. It then works within those limits to show you how to build an investment portfolio that maximizes the possibility you’ll achieve your goals, as well as how to manage the tradeoffs between your goals.
In the book, you’ll find:
- Strategies for incorporating taxation and rebalancing into a goals-based portfolio
- A discussion of the major non-financial risks faced by people engaged in private wealth management
- An incisive prediction of what the future of wealth management and investment management may look like
An indispensable exploration of investing as it actually works in the real world for real people, Goals-Based Portfolio Theory belongs in the library of all investors and their advisors who want to maximize the chances of meeting financial goals.
Table of contents
- Cover
- Title Page
- Copyright
- Dedication
- Foreword
- Preface
- Acknowledgments
- CHAPTER 1: The Story of the Idea
- CHAPTER 2: A Theoretical Foundation
- CHAPTER 3: Allocating Wealth Across Goals and Across Investments
- CHAPTER 4 Allocating Wealth Through Time
- CHAPTER 5: Real Markets, Real Risk, Real Portfolios
- CHAPTER 6: Insurance Through a Goals‐Based Lens
- CHAPTER 7: Impact Investing
- CHAPTER 8: Taxes and Rebalancing
- CHAPTER 9: Goals‐Based Reporting
- CHAPTER 10: Fragility Analysis of Goals‐Based Inputs
- CHAPTER 11: Human Risks
- CHAPTER 12: Prudent Investing with High‐Variance Assets: An Experimental Chapter
- CHAPTER 13: As a Bridge Between Normative and Behavioral Finance
- CHAPTER 14: The Future Structure of Wealth Management Firms
- Some Final Thoughts
- Index
- End User License Agreement
Product information
- Title: Goals-Based Portfolio Theory
- Author(s):
- Release date: December 2022
- Publisher(s): Wiley
- ISBN: 9781119906100
You might also like
book
Behavioral Finance and Your Portfolio
Become a more strategic and successful investor by identifying the biases impacting your decision making. In …
book
Systematic Fixed Income
Understand the role and potential of fixed income as an asset class Systematic Fixed Income: An …
book
The Upside of Uncertainty
A science-backed guide for navigating and thriving through uncertainty—based on interviews and insights from world-renowned leaders, …
book
Global Investing
Identify and invest in the world’s best performing companies In Global Investing: A Practical Guide to …