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Wine Investment for Portfolio Diversification
Kumar Mahesh
February 2010 |
Pages :  
179

Description

Financial professional Mahesh Kumar documents how investment in fine wines over the past 20 years equal or exceed the return from stocks and bonds in this book. Based on the Nobel Prize–winning portfolio theory of Harvey Markovitz, the author provides a mean-variance model with expected return, standard deviations (risk), and correlations between asset returns. It includes extensive data and charts that document the performance for each investment for every five year period s ..Read more

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