The Skeptical Investor


The Skeptical Investor
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The Sceptical Investor


The Sceptical Investor
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Author : John Stepek
language : en
Publisher:
Release Date : 2019-03-11

The Sceptical Investor written by John Stepek and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2019-03-11 with Business & Economics categories.


Everyone wants to be a contrarian investor. From the hedge funds who bet against the US housing market in the run up to 2008, to George Soros’s billion-dollar bet against the Bank of England in 1992, some of the most famous and most profitable trades in history have been contrarian calls. And with the relentless growth of passive investing - investors blindly following the market - the opportunities for a smart investor to profit by betting against the crowd should be greater than ever. Yet being a contrarian is hard work. It takes patience, the conviction to stand by an unpopular viewpoint, and the mental toughness to endure being 'wrong' for prolonged periods of time. Standing out from the crowd goes against our every natural instinct. Which is, of course, why it works. So how do you go about it? There is no single, mechanical investment approach that marks an investor out as a contrarian. Instead, you need to adopt a sceptical mindset: a flexible mode of thinking that allows you to stand back and spot when the market’s view of the world is badly out of touch with reality - and the best way to profit when reality eventually reasserts itself. In The Sceptical Investor, John Stepek, executive editor of MoneyWeek, pulls together the latest research on behavioural finance, and examples from well-known contrarian investors, to offer practical techniques to help you to spot opportunities in common investment situations, from turnaround plays to bubbles and busts, that others in the market miss. It won't make you popular and it won't make you famous. But it will make you money.



The Skeptical Investor


The Skeptical Investor
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Author : John Lawrence Reynolds
language : en
Publisher: Viking Canada
Release Date : 2009-12-29

The Skeptical Investor written by John Lawrence Reynolds and has been published by Viking Canada this book supported file pdf, txt, epub, kindle and other format this book has been release on 2009-12-29 with Finance, Personal categories.


Building a decent retirement nest-egg is hard work.... Ensuring it's there when you need it can be just as challenging. Every RRSP owner watched in horror as the stock market fell steeply during 2008. With company pension plans tapped out and employers filing for bankruptcy, the security of an adequate and guaranteed pension has become a thing of the past for most Canadians. It is not enough to build retirement savings during your working years--it has become just as important to guard them from economic turnarounds, expensive investments, and greedy advisers. In The Skeptical Investor, John Lawrence Reynolds, author of the bestselling The Naked Investor, uses real-life examples and his characteristic wry humour to lift the curtain concealing questionable investment industry policies and how to avoid the potholes on the road to retirement.



How To Think Like Benjamin Graham And Invest Like Warren Buffett


How To Think Like Benjamin Graham And Invest Like Warren Buffett
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Author : Lawrence A. Cunningham
language : en
Publisher: McGraw-Hill Companies
Release Date : 2001-01-01

How To Think Like Benjamin Graham And Invest Like Warren Buffett written by Lawrence A. Cunningham and has been published by McGraw-Hill Companies this book supported file pdf, txt, epub, kindle and other format this book has been release on 2001-01-01 with Business & Economics categories.


This straight-talking examination of investing features the techniques of history's best investors and wraps a lifetime of investing wisdom into one highly accessible package. This fast-paced book provides investors with the tools needed to thoroughly value any business in which they might invest. 10 illustrations.



Book Of Value


Book Of Value
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Author : Anurag Sharma
language : en
Publisher: Columbia University Press
Release Date : 2016-09-06

Book Of Value written by Anurag Sharma and has been published by Columbia University Press this book supported file pdf, txt, epub, kindle and other format this book has been release on 2016-09-06 with Business & Economics categories.


Financial markets are noisy and full of half-baked opinions, innuendo, and misinformation. With deep insights about investor psychology, Book of Value shows how to apply tools of business analysis to sort through the deceptions and self-deceptions in financial markets. Anurag Sharma joins philosophy with practical know-how to launch an integrated approach to building high-performance stock portfolios. Investors at all skill levels should learn to be mindful of their psychological biases so they may better frame investment choices. Book of Value teaches novices that investing is not a game of luck but a skill—and it teaches the emotional and analytical tools necessary to play it well. Intermediate investors learn how to effectively control emotions when investing and think strategically about their investment program. Advanced investors see the formalization of what they already know intuitively: that the philosopher's methods for seeking truth can be profitably applied to make smart investments. A groundbreaking guide full of lasting value, Book of Value should be on the shelf of anyone who takes investing seriously.



Pragmatic Capitalism


Pragmatic Capitalism
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Author : Cullen Roche
language : en
Publisher: St. Martin's Press
Release Date : 2014-07-08

Pragmatic Capitalism written by Cullen Roche and has been published by St. Martin's Press this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-07-08 with Business & Economics categories.


Being successful in the modern world of finance requires a more in-depth understanding of our global economies on a macro level. What does a shifting demographic cycle mean? How does the explosive growth of emerging markets matter? Why does the world's population affect my portfolio? Does the global monetary system impact my results this year? How does government intervention in markets impact my strategy? In Pragmatic Capitalism, Cullen Roche explores how our global economy works and why it is more important now than ever for investors to understand macroeconomics. Cullen Roche combines his expertise in global macro portfolio management, quantitative risk management, behavioral finance, and monetary theory to explain to readers how macroeconomics works, and provides insights and suggestions for getting the most out of their investment strategies. This book will uncover market myths and explain the rise of macroeconomics and why it impacts the readers' portfolio construction. Pragmatic Capitalism is a must for any sophisticated investor who wants to make the most of their portfolio.



Foundations For Scientific Investing Revised Tenth


Foundations For Scientific Investing Revised Tenth
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Author : Timothy Falcon Crack
language : en
Publisher:
Release Date : 2020-11-25

Foundations For Scientific Investing Revised Tenth written by Timothy Falcon Crack and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2020-11-25 with categories.


[Note: eBook version of latest edition now available; see Amazon author page for details.] Every investor needs capital markets intuition and critical thinking skills to conduct confident, deliberate, and skeptical investment. The overarching goal of this book is to help investors build these skills. This revised tenth edition is the product of 25+ years of investment research and experience (academic, personal, and professional), and 20+ painstaking years of destructive testing in university classrooms. Although the topic is applied investments, the integration of finance, economics, accounting, pure mathematics, statistics, numerical techniques, and spreadsheets (or programming) make this an ideal capstone course at the advanced undergraduate or masters/MBA level. The book has a heavily scientific/quantitative focus, but the material should be accessible to a motivated practitioner or talented individual investor with (for the most part) only high school level mathematics or intermediate level university mathematics. Although aimed at the advanced undergraduate or masters/MBA level, the careful explanations of a wide range of advanced capital markets topics makes this an excellent book for a U.S. PhD student in need of an easily accessible foundation course in capital markets theory and practice. There are literature reviews of multiple advanced areas, and more than 30 unanswered research questions are identified; these research questions would be ideal for a master's thesis or a chapter of a PhD. The applied nature of the book also makes it ideal for capital markets practitioners. For example, in one exercise, the reader is taken by the hand and walked through construction of a worked spreadsheet example of an active alpha optimization using actual stock market data. (The reader gets to build ex-ante alphas, and feed them into an optimization that weighs returns, risk, and transaction costs. A portfolio is rebalanced based on the optimization, and ultimately a backtest is conducted to measure ex post alpha.) Other practitioner material includes advanced time value of money exercises, a review of retirement topics, extensive discussions of dividends, P/E ratios, transaction costs, the CAPM, value versus growth versus glamour versus income, and a review of more than 100 years of stock market performance and more than 200 years of interest rates. The book contains more than 65 "Quant Quizzes," containing over 100 individual questions. Each is designed to reinforce key ideas. There are also a dozen "You Need to Know boxes," each of which focuses on a very important point that is often taught poorly or overlooked completely in university courses. Special attention is paid to more difficult topics like construction of Student-t statistics, the Roll critique, smart beta, factor-based investing, the Fama-French critique, and Grinold-Kahn versus Black-Litterman models (note that a hybrid Grinold-Kahn/Black-Litterman model is introduced). A key diagram shows how the following models are related to each other: Martingale, Random Walk, ABM, GBM, APT, CAPM, Markowitz, Tobin, Zero-Beta CAPM, CAPM, Black-Scholes, Bachelier, etc. Also, the Roll Critique and the Black Zero-Beta CAPM are both generalized to include reference portfolios that are not necessarily fully invested. The list of references has 1,116 items from the academic and practitioner literature and the index has 9,249 entries (in 4,358 lines). Finally, note that a separate book exists with more than 600 class-tested questions to accompany this book (Foundations for Scientific Investing: Multiple-Choice, Short-Answer, and Long-Answer Test Questions).



Foundations For Scientific Investing Revised 11th


Foundations For Scientific Investing Revised 11th
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Author : Timothy Falcon Crack
language : en
Publisher:
Release Date : 2022

Foundations For Scientific Investing Revised 11th written by Timothy Falcon Crack and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2022 with categories.


[Note: eBook version of latest edition now available; see Amazon author page for details.] Every investor needs capital markets intuition and critical thinking skills to conduct confident, deliberate, and skeptical investment. The overarching goal of this book is to help investors build these skills. This revised 11th edition is the product of 25+ years of investment research and experience (academic, personal, and professional), and 20+ painstaking years of destructive testing in university classrooms. Although the topic is applied investments, the integration of finance, economics, accounting, pure mathematics, statistics, numerical techniques, and spreadsheets (or programming) make this an ideal capstone course at the advanced undergraduate or masters/MBA level. The book has a heavily scientific/quantitative focus, but the material should be accessible to a motivated practitioner or talented individual investor with (for the most part) only high school level mathematics or intermediate level university mathematics. Although aimed at the advanced undergraduate or masters/MBA level, the careful explanations of a wide range of advanced capital markets topics makes this an excellent book for a U.S. PhD student in need of an easily accessible foundation course in capital markets theory and practice. There are literature reviews of multiple advanced areas, and more than 30 unanswered research questions are identified; these research questions would be ideal for a master's thesis or a chapter of a PhD. The applied nature of the book also makes it ideal for capital markets practitioners. For example, in one exercise, the reader is taken by the hand and walked through construction of a worked spreadsheet example of an active alpha optimization using actual stock market data. (The reader gets to build ex-ante alphas, and feed them into an optimization that weighs returns, risk, and transaction costs. A portfolio is rebalanced based on the optimization, and ultimately a backtest is conducted to measure ex post alpha.) Other practitioner material includes advanced time value of money exercises, a review of retirement topics, extensive discussions of dividends, P/E ratios, transaction costs, the CAPM, value versus growth versus glamour versus income, and a review of more than 100 years of stock market performance and more than 200 years of interest rates. The book contains 72 "Quant Quizzes," containing over 100 individual questions. Each is designed to reinforce key ideas. There are also more than 10 "You Need to Know" boxes, each of which focuses on a very important point that is often taught poorly or overlooked completely in university courses. Special attention is paid to more difficult topics like construction of Student-t statistics, the Roll critique, smart beta, factor-based investing, the Fama-French critique, and Grinold-Kahn versus Black-Litterman models (note that a hybrid Grinold-Kahn/Black-Litterman model is introduced). A key diagram shows how the following models are related to each other: Martingale, Random Walk, ABM, GBM, APT, CAPM, Markowitz, Tobin, Zero-Beta CAPM, Black-Scholes, Bachelier, etc. Another key diagram identifies participants in securities lending transactions that stand behind any short sale of stock. Also, the Roll Critique and the Black Zero-Beta CAPM are both generalized to reference portfolios that are not necessarily fully invested. The list of references has over 1,000 items from the academic and practitioner literature and the extensive index has over 9,500 entries. Finally, note that a separate book with more than 600 classroom-tested questions exists to accompany this book.



Millennial Money


Millennial Money
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Author : Patrick O'Shaughnessy
language : en
Publisher: Macmillan + ORM
Release Date : 2014-10-14

Millennial Money written by Patrick O'Shaughnessy and has been published by Macmillan + ORM this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-10-14 with Business & Economics categories.


Fact: the Millennial Generation will not be able to rely on pensions and social security in retirement. Instead, they will have to save and invest in the global stock market to meet their goals. When it comes to thinking about money, Millennials are, as a generation, different from their parents. They are skeptical of expert advice, yet more committed than baby boomers to passing wealth on to future generations. To build wealth, young people must start investing early and buck conventional market wisdom. Millennial Money will explain the most common mistakes that hurt investors' long-term returns and show why their investments in popular stocks or the hottest industry of the day have resulted in such underwhelming results. More importantly, the book will introduce a strategy that can help us overcome our shortcomings as investors. Armed with this strategy, Millennials can become the most successful investing generation in history.



Distressed Debt Analysis


Distressed Debt Analysis
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Author : Stephen G. Moyer
language : en
Publisher: J. Ross Publishing
Release Date : 2004-11-15

Distressed Debt Analysis written by Stephen G. Moyer and has been published by J. Ross Publishing this book supported file pdf, txt, epub, kindle and other format this book has been release on 2004-11-15 with Business & Economics categories.


Providing theoretical and practical insight, this book presents a conceptual, but not overly technical, outline of the financial and bankruptcy law context in which restructurings take place. The author uses numerous real- world examples to demonstrate concepts and critical issues. Readers will understand the chess-like, multi- move strategies necessary to achieve financially advantageous results.



The Book Of Investing Wisdom


The Book Of Investing Wisdom
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Author : Peter Krass
language : en
Publisher: John Wiley & Sons
Release Date : 1999-03-19

The Book Of Investing Wisdom written by Peter Krass and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 1999-03-19 with Business & Economics categories.


Es gibt zwar viele lehrreiche Bücher über Geschäftsweisheiten, aber nur wenige bekannte Investoren haben ihr Erfolgsgeheimnis tatsächlich gelüftet. Dieses Buch ist eine Anthologie bestehend aus 50 Essays und Reden von so schillernden Größen wie z. B. Charles Dow, B.C. Forbes, Peter Lynch und George Soros: In einem Band: Geschäftsweisheiten aus mehreren Jahrzehnten von der Crème de la Crème! Die verschiedenen Persönlichkeiten der Investoren und deren Umfeld wird deutlich durch ihren Sprachstil. Zu jeder Persönlichkeit gibt es als Vorwort einleitende Informationen über deren jeweiligen Hintergrund. Nach Themen gegliedert, erlaubt es dem Leser sich bequem auf bestimmte Informationen oder Ratschläge zu konzentrieren. Zu den behandelten Themen gehören u.a.: Die richtige Einstellung für erfolgreiche Investitionen, Theorie und Strategie, Marktzyklen und -verhalten, etc. Es bietet ein leserfreundliches Layout mit Fettdruck der besten Zitate, einen Namensindex aller zu Wort gekommenen Investoren sowie einen chronologischen Index. Die ideale Lektüre für alle in der Investmentbranche. (02/99)