The second edition of the classic investment guide to active portfolio management.Hinweis: Dieser Artikel kann nur an eine deutsche Lieferadresse ausgeliefert werden.
Kenneth R. Solow is the co-founder and Investment Committee Chair at Pinnacle Advisory Group, Inc. A popular speaker and writer, he is nationally known for his views on active management, and his 2009 book, Buy and Hold is Dead (Again): The Case for Active Portfolio Management in Dangerous Markets, is considered the definitive work in the field.
Inhaltsangabe
Part one: buy and hold is dead Chapter 1: WE¿RE ALL IN Chapter 2: The Risks of Buy and Hold Investing In Bear Markets (or, Why You May Never Be Able To Retire) Chapter 3: Why The Financial Industry Believes In Buy and Hold Investing Chapter 4: Hogs, Cobwebs, And Other Imperfect Assumptions Chapter 5: The Theoretical Case For Active Portfolio Management Chapter 6: The Trouble With Quant Models Chapter 7: Compelling Evidence That Active Management Really Works Part Two: Active Portfolio Management Chapter 8: Portfolio Strategy In A Post-Lehman World Chapter 9: Becoming An Investment Expert (or, How To Be Right For The Right Reasons) Chapter 10: The Incredible, Amazing P/E Ratio Chapter 11: Developing A Point Of View With Top-Down Analysis Chapter 12: Bottom-Up Investment Analysis: A Case Study Chapter 13: The Psychology Of Making Investment Mistakes Chapter 14: The Tax Tail And The Portfolio Dog Chapter 15: Decisions, Decisions, Decisions Chapter 16: Industry Forecast (An Essay)
Part one: buy and hold is dead Chapter 1: WE¿RE ALL IN Chapter 2: The Risks of Buy and Hold Investing In Bear Markets (or, Why You May Never Be Able To Retire) Chapter 3: Why The Financial Industry Believes In Buy and Hold Investing Chapter 4: Hogs, Cobwebs, And Other Imperfect Assumptions Chapter 5: The Theoretical Case For Active Portfolio Management Chapter 6: The Trouble With Quant Models Chapter 7: Compelling Evidence That Active Management Really Works Part Two: Active Portfolio Management Chapter 8: Portfolio Strategy In A Post-Lehman World Chapter 9: Becoming An Investment Expert (or, How To Be Right For The Right Reasons) Chapter 10: The Incredible, Amazing P/E Ratio Chapter 11: Developing A Point Of View With Top-Down Analysis Chapter 12: Bottom-Up Investment Analysis: A Case Study Chapter 13: The Psychology Of Making Investment Mistakes Chapter 14: The Tax Tail And The Portfolio Dog Chapter 15: Decisions, Decisions, Decisions Chapter 16: Industry Forecast (An Essay)
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