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Invest Outside the Box

Understanding Different Asset Classes and Strategies
BuchGebunden
299 Seiten
Englisch
Springererschienen am12.07.20181st ed. 2018
This book is a practical and concise guide to major asset classes, investment strategies, and foreign markets. Written by a practitioner, this volume can serve as course material for introductory investing classes or as an on-the-job guidebook for professionals and practicing investors.mehr
Verfügbare Formate
BuchGebunden
EUR48,14
BuchKartoniert, Paperback
EUR48,14
E-BookPDF1 - PDF WatermarkE-Book
EUR48,14

Produkt

KlappentextThis book is a practical and concise guide to major asset classes, investment strategies, and foreign markets. Written by a practitioner, this volume can serve as course material for introductory investing classes or as an on-the-job guidebook for professionals and practicing investors.
Details
ISBN/GTIN978-981-13-0371-5
ProduktartBuch
EinbandartGebunden
Verlag
Erscheinungsjahr2018
Erscheinungsdatum12.07.2018
Auflage1st ed. 2018
Seiten299 Seiten
SpracheEnglisch
Gewicht550 g
IllustrationenXXIII, 299 p. 131 illus.
Artikel-Nr.47452513
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Inhalt/Kritik

Inhaltsverzeichnis
1. Cash, bank deposits, and interest rates.- 2. Bonds, Fixed Income and Money Markets.- 3. Real Estate and Property.- 4. Equities and Stock Markets.- 5. Currencies and Foreign Exchange Markets.- 6. Alternative assets from gold, commodities, art, fine wine, and other collectibles to private equity and hedge funds.- 7. Diversification and Portfolio Construction: Maximizing Return and Minimizing Risk.- 8. Indexes, Benchmarks, Mutual Funds and ETFs.- 9. Blockchain and Cryptocurrencies.- 10. International investing, and the importance of breaking the country box.- 11. Conclusion.mehr

Schlagworte

Autor

Tariq Dennison is a Hong Kong based fund manager and pension advisor investing retirement accounts across global stock, bond, and alternatives markets. An American raised in Europe and long resident in Asia, Tariq has a lifelong natural interest in interest rates, foreign currencies, and frontier and out-of-favor markets. He has worked at Accenture, Commerzbank, Bear Stearns, J.P. Morgan, CIBC, and Société Générale in San Francisco, New York, Toronto, London and Hong Kong, before starting GFM Asset Management in 2014. Tariq teaches fixed income and alternative investments at ESSEC Business School in Singapore, CFA Singapore, and the Hong Kong Society of Financial Analysts, and holds a Bachelor's degree from Marquette University and a Master's in Financial Engineering from the University of California at Berkeley's Haas School of Business.
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