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The long-awaited revised edition of the stock trading classic gets you fully up to date on value investing, ESG investing, and other important developments The definitive guide to stock trading, Stocks for the Long Run has been providing the knowledge, insights, and tools that traders need to understand the market for nearly 30 years. It's been updated with new chapters and content on: * The role of value investing * The impact of ESG¿Environmental/Social/Governance¿issues on the future of investing * The current interest rate environment * Future returns investors should expect in the bond…mehr

Produktbeschreibung
The long-awaited revised edition of the stock trading classic gets you fully up to date on value investing, ESG investing, and other important developments The definitive guide to stock trading, Stocks for the Long Run has been providing the knowledge, insights, and tools that traders need to understand the market for nearly 30 years. It's been updated with new chapters and content on: * The role of value investing * The impact of ESG¿Environmental/Social/Governance¿issues on the future of investing * The current interest rate environment * Future returns investors should expect in the bond and stock markets * The role of international investing * The long-run risks on equity markets * The importance of black swan events, such as a pandemic and the financial crisis You'll also get in-depth discussions on the big questions investors face: Is international Investing dead? What do global changes like climate change mean for markets wo0rldwide? Consult this classic guide to master the stock market's behavior, past trends, and future forecasts, so you have all the tools you need to develop a powerful long-term portfolio that's both safe and secure.
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Autorenporträt
Jeremy J. Siegel is a professor of finance at the Wharton School of the University of Pennsylvania. Professor Siegel received his Ph.D. from M.I.T. and taught for four years at the University of Chicago before joining the Wharton faculty in 1976. He has written and lectured extensively about the economy and financial markets, monetary policy and interest rates, and stock and bond returns. Along with heading the macroeconomics module of the Morgan Bank Finance Program in New York, he is the academic director of the U.S. Securities Industry Institute and is on the Advisory Board of the Asian Securities Industry Association. Professor Siegel is courted by nearly every Wall Street firm as a consultant and lecturer and has appeared on CNBC, PBS, Wall Street Week, and NPR.