RT Journal Article SR Electronic T1 Book Reviews JF The Journal of Wealth Management FD Institutional Investor Journals SP 81 OP 86 DO 10.3905/jwm.2014.16.4.081 VO 16 IS 4 A1 Jean L.P. Brunel YR 2014 UL https://pm-research.com/content/16/4/81.abstract AB This article reviews four books: “The Stewardship of Wealth, Successful Private Wealth Management for Investors and Their Advisors,” by Gregory Curtis, Wiley Finance; “The Value of Debt, How to Manage Both Sides of A Balance Sheet to Maximize Wealth,” by Thomas J. Anderson, Wiley; “Risk-Return Analysis (Volume 1), The Theory and Practice of Rational Investing,” by Harry M. Markowitz with Kenneth Blay; and “Introduction to Risk Parity and Budgeting,” by Thierry Roncalli, Chapman & Hall/CRC Financial Mathematics Series.TOPICS: Wealth management, risk management