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Investing Demystified

Investing Demystified

Author: Lars Kroijer

Publisher: Pearson UK

ISBN: 9780273781523

Category: Business & Economics

Page: 216

View: 188

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Don’t spend your time worrying whether you can beat the markets: you don’t need to beat them to be a successful investor. By showing you how to build a simple and rational portfolio and tailor it to your specific needs, Investing Demystified will help you generate superior returns. With his straightforward and jargon-free advice, Lars Kroijer simplies the often complex world of finance and tells you everything you need to know – and everything that you don’t need to worry about – in order to make the most from your investments. In Investing Demystified you will: • Discover the mix of stocks, bonds and cash needed for a top performing portfolio • Learn why the most broadly diversi_ ed and simplest portfolio makes the most sense • Understand the right level of risk for you and how this affects your investments • Find out why a low cost approach will yield bene_ ts whilst leaving you with a higher quality portfolio • Understand the implications of tax and liquidity

Equity Crowdfunding for Investors

Equity Crowdfunding for Investors

Author: David M. Freedman

Publisher: John Wiley & Sons

ISBN: 9781118857809

Category: Business & Economics

Page: 304

View: 729

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Learn the ins and outs of equity crowdfunding with this informative guide Equity Crowdfunding for Investors is a comprehensive, objective, and authoritative guide to the social and financial rewards of crowdfunding. Before now, angel investing – and the spectacular returns possible in this asset class – has been off-limits to all but the wealthiest Americans. Now equity crowdfunding portals allow the general public to buy shares in startups and fast-growing private companies for the first time in generations. This book provides the guidance individuals need to invest wisely, tempering the excitement of leading-edge technology, innovative business models, and exciting new brands with thorough, practical know-how – including investor limits and requirements, portfolio strategy, deal terms, and much more. Readers will learn the pros and cons of investing in equity crowdfunding so they can make an informed investment decision, as well as best practices for finding, researching, evaluating, and buying into potentially profitable startups. Digital components include tables, graphs, comparison charts, screen captures, checklists, and other tools that further enable readers to make suitable investment choices. Equity crowdfunding is a new, exciting, and evolving way for growing businesses to raise capital and for average investors to buy equity in those businesses. It has been hailed as a "game changer" in the private capital markets, particularly the angel investment asset class, which includes angel investing. This book shows readers how to take full advantage of this new avenue of investment, without being taken advantage of themselves. Make smarter investment decisions Avoid being ripped off Find the best information available Understand the SEC rules and limits Equity crowdfunding can produce huge returns. It also comes with huge risk. Some companies will succeed, but many will fail. Everyday investors can mitigate some risk and increase their chance of profit with the fundamental insight provided in Equity Crowdfunding for Investors.

Summary: Investing Without a Silver Spoon

Summary: Investing Without a Silver Spoon

Author: BusinessNews Publishing

Publisher: Primento

ISBN: 9782806247414

Category: Business & Economics

Page: 10

View: 792

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The must-read summary of Jeff Fischer's book: "Investing Without a Silver Spoon: How Anyone Can Build Wealth Through Direct Investing". This complete summary of the ideas from Jeff Fischer's book "Investing Without a Silver Spoon" puts forward a case for sensible investing that yields a long-term return without massive capital at the start. In fact, direct investment plans allow a person to build wealth slowly and steadily by investing in companies at whatever rate they can afford on a regular basis without using (or paying) a broker. By then reinvesting the dividends that are earned through buying more stock, compound growth occurs over the longer term. This summary explains that direct investors can take positive control of their own financial futures. Prospective investors will be taken through the financial jargon, what you need to begin, and how to invest for the long-term, not short-term. It acknowledges that Direct Investment isn’t for everyone – if you have a high interest debt, for example – but believes that good research combined with intelligent decision-making can yield financial freedom and a worry-free retirement. Added-value of this summary: • Save time • Understand the key concepts • Increase your business knowledge To learn more, read "Investing Without a Silver Spoon" and invest effectively!

Foundations of Risk and Return

Foundations of Risk and Return

Author: Juan R Castro, PH D

Publisher: Independently Published

ISBN: 9798507914593

Category:

Page: 52

View: 975

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I have been asked innumerable times by many people - "teach me how to invest." In some cases, people are asking to learn investment very quickly, and many of them get involved in following some kind of "magic" formula such as "learn to invest in 12 days" or "10 steps to invest and become wealthy" or "7 investment rules to become rich" etc. But learning to invest money and get higher returns requires discipline and knowledge. This book will provide the foundations for investments. Learning Risk and Return is the idea of knowing how returns are measured and how risks can be managed. Of course, in order to learn risk and return, you need to have some understanding of basic statistics, because without statistics it is not possible to learn the foundations of investments, risk, and return. This book will provide a solid foundation in basic statistics so that you can easily learn about risk and return and how to invest.

The SAGE Handbook of Corporate Governance

The SAGE Handbook of Corporate Governance

Author: Thomas Clarke

Publisher: SAGE

ISBN: 9781446263822

Category: Business & Economics

Page: 680

View: 371

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The urgent and sustained interest in corporate governance is unprecedented, with the connections between corporate governance and economic performance being emphasized by the World Bank, the IMF and others in the global economic community. In this timely and definitive intellectual analysis of a key discipline, The SAGE Handbook of Corporate Governance offers a critical overview of the key themes, theoretical controversies, current research and emerging concepts that frame the field. Consisting of original substantive chapters by leading international scholars, and examining corporate governance from an inter-disciplinary basis, the text highlights how governance issues are critical to the formation, growth, financing, structural development, and strategic direction of companies and how corporate governance institutions in turn influence the innovation and development of industrial and economic systems globally. Comprehensive, authoritative and presented in a highly-accessible framework, this Handbook is a significant resource to those with an interest in understanding this important emerging field.

Social Return on Investment Analysis

Social Return on Investment Analysis

Author: Volker Then

Publisher: Springer

ISBN: 9783319714011

Category: Business & Economics

Page: 406

View: 938

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This book introduces and explains how to conduct a Social Return on Investment (SROI) analysis. It discusses the various advantages and disadvantages of different research strategies and designs, and explores the different ways in which SROI analysis results can be used for communication, outreach, and strategic decision-making. It provides insights into how and to what extent SROI analyses can help to meet different expectations, and presents different social impact research designs and methods. It presents an analytical framework for the identification of a proper SROI analysis, and shows readers how to establish an impact model, introducing a stakeholder-based approach.

Reducing the Risk of Black Swans: Using the Science of Investing to Capture Returns with Less Volatility, 2018 Edition

Reducing the Risk of Black Swans: Using the Science of Investing to Capture Returns with Less Volatility, 2018 Edition

Author: Larry Swedroe

Publisher:

ISBN: 069206074X

Category: Business & Economics

Page: 206

View: 806

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The 2018 updated edition from authors Larry Swedroe and Kevin Grogan. From Larry Swedroe, author of the bestselling series of "The Only Guide" investment books, and Kevin Grogan, co-author of "The Only Guide You'll Ever Need for the Right Financial Plan," comes the 2018 edition of "Reducing the Risk of Black Swans." Designed for professional financial advisors and educated investors alike, Swedroe and Grogan wrote this book especially for those looking to expand their technical knowledge of the evidence-based investing world. "Swans" provides an in-depth look at portfolio construction and offers a roadmap for those interested in refining their portfolio. From CAPM to the three-factor model, Swedroe and Grogan present some of the academic underpinnings that have led to what we now commonly recognize to be modern financial theory. Taking it one step further, they provide specifics on what it takes to build a more efficient portfolio, in particular using new alternative investments. Based on an overwhelming amount of hard data and research, Swedroe and Grogan make their case for reducing the risk of black swans.

Managing Your Investment Portfolio For Dummies - UK

Managing Your Investment Portfolio For Dummies - UK

Author: David Stevenson

Publisher: John Wiley & Sons

ISBN: 9781118457092

Category: Business & Economics

Page: 387

View: 463

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Achieve positive returns on your investments, in any market With Managing Your Investment Portfolio FD you can build and manage a portfolio of investments that’s flexible enough to provide positive returns, no matter what the market is doing. Inside you’ll find a wealth of strategies and techniques to help you take your investments to the next level. Lean to track and predict volatility; hedge your exposure by going long and short; use strategies like arbitrage, relative value and pairs trading; and dip into distressed assets, options, derivatives, spread betting and much more. Techniques and strategies covered include: Tracking and predicting volatility, and making short-term gains on very volatile markets Hedging exposure and going long and short Arbitrage (taking advantage of price differences between markets) Pairs trading Relative value strategies Distressed assets (things written off by the mainstream that may have long-term value) Earnings surprises (looking for companies delivering better earnings than predicted by analysts) Options and derivatives Macro trading (looking at key indicators for economic cycles)

Optimal Investing

Optimal Investing

Author: Scott P. Frush

Publisher: Marshall Rand Publishing

ISBN: IND:30000094769936

Category: Asset allocation

Page: 268

View: 829

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In today's volatile financial marketplace, protecting and growing your wealth is key for achieving your financial security and independence. Optimal Investing is that all-important key. This indispensable and insightful book reveals how to protect and grow your wealth for powerful long-term results. You'll learn not only the proven theories and principles of asset allocation, but also how to build an optimal portfolio with ease. Optimal Investing is simple and easy to read, not full of technical and statistical jargon. Included are model portfolios for different investors, detailed step-by-step checklists, a glossary for easy reference and the Optimal Allocator worksheet to build your own optimal portfolio. Book jacket.

Investments

Investments

Author: Jones

Publisher: John Wiley & Sons

ISBN: 9781119578079

Category: Business & Economics

Page: 672

View: 155

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The revised and updated fourteenth edition of Investments: Analysis and Management explains the essentials of investing and supports good investment decisions. More than a simple introduction to the subject, this comprehensive textbook prepares students to handle real-world investment problems and controversies in a clear and accessible manner. Emphasizing readability, Authors Charles Jones and Gerald Jensen minimize complex formulas and simplify difficult material—enabling students of all levels and backgrounds to follow the entire discussion and delve further into the subject. Ideally suited for beginning courses in investments, this textbook is designed as a practical guide to help students gain foundational knowledge of investing and develop the analytic skills necessary for deciphering investment issues. Carefully organized chapters guide students through fundamental investing concepts, portfolio and capital market theory, common stock analysis and valuation, fixed-income and derivative securities, the specifics of security analysis and portfolio management, and more. A broad range of pedagogical tools—including bulleted summaries, numbered examples, spreadsheet exercises, computational problems, and an extensive set of chapter review questions—strengthens student comprehension and retention.