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Cambridge University Press Cambridge Strategic Financial Planning - Lifecycle Risk Management

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£44.53 £30.34 £33.44 £36.53 £39.63 £42.72 £45.82 26 April 2026 18 May 2026 10 June 2026 02 July 2026 25 July 2026

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Description

Master the fundamentals of wealth management with Strategic Financial Planning over the Lifecycle. Published by Cambridge University Press, this book applies the lifecycle model of financial economics to provide a cohesive framework for personal risk management. By utilizing the central concept of consumption smoothing, the text creates a direct link between essential financial topics including saving, investment, debt management, and retirement planning. Designed for versatility, the book is divided into two distinct sections to suit different reader needs. The first part is written in a nontechnical style, making complex financial concepts accessible to a wide audience without a special technical background. The second part offers a rigorous academic approach, presenting the lifecycle model from first principles using the calculus of variations. This dual structure makes it an ideal resource for both general readers looking to understand personal finance and advanced students requiring a mathematical foundation in financial economics.

Key Features

Uses the lifecycle model of financial economics to connect saving, investment, and debt management into one cohesive framework.

Applies the concept of consumption smoothing to explain the relationship between risk management and retirement planning.

Offers a nontechnical first section designed for a wide audience with no special technical background.

Provides a rigorous second section for advanced study using the calculus of variations to present the lifecycle model.

Includes access to an accompanying website at http://www.yorku.ca/milevs for additional resources.

Product Specifications

Format
paperback
Domain
Amazon UK
Publication Date
02 August 2012
Listed Since
04 October 2011

Barcode

No barcode data available

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