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Investment Management - Stephen Lofthouse

Investment Management

Buch | Softcover
600 Seiten
2001 | 2nd edition
John Wiley & Sons Inc (Verlag)
978-0-471-49237-5 (ISBN)
CHF 71,95 inkl. MwSt
This edition provides an introduction to investment techniques and financial theory and has been expanded to include discussion of derivatives, bonds and fixed interest, equity investment, as well as private client accounts. Topics include forecasting the economy and emerging markets.
Fully updated to cover changing investment techniques and markets
Completely revised and updated, this new edition provides a solid introduction to investment techniques and up-to-date financial theory and has been expanded to include discussions of derivatives, bonds and fixed interest, equity investment, as well as private client accounts. Written by two highly regarded authors, Investment Management provides a thorough grounding in current investment techniques in a form uniquely suited to the perspective of the fund manager and analyst. Readers will find enlightening and practical coverage of such topics as behavioral finance, assessing investment systems, creative accounting and bankruptcy, neglected and new stocks, arbitrage pricing theory, forecasting the economy, business cycle, valuation, emerging markets, and passive investment management.
Stephen Lofthouse's career spanned both the academic and commercial investment worlds. He is a former Director of James Capel stockbrokers, now part of HSBC group, and Executive Chairman of James Capel FundManagers Ltd and James Capel Unit Trust Management Ltd.

STEPHEN LOFTHOUSE is a former Executive Chairman of James Capel Fund Managers Ltd. and James Capel Unit Trust Management Ltd. as well as a director of stockbrokers James Capel Co. Ltd., part of the HSBC group. His career also included lecturing at the Manchester Business School.

Preface.

Introduction.

Portfolio Theory.

The Capital Asset Pricing Model.

Arbitrage Pricing Theory.

Behavioural Finance.

The Efficient Market.

Introduction to Share and Sector Selection.

Economic Fundamentals.

Accounting Fundamentals.

Dividend Discount and Price-Earnings Models.

Earnings-Based Share Selection.

Aspects of Value versus Growth.

Value, Growth and Size: Evidence.

A Share Picker's Miscellany.

Technical Analysis.

Sector Strategy.

Constructing a Share Portfolio.

Bonds: An Introduction.

Bond Strategy.

International Investing.

Derivatives.

Strategic and Tactical Asset Allocation.

Tactical Asset Allocation: The Economy and Market Ratios.

Tactical Asset Allocation: Risk and Return.

Fund Managers: Buy, Sell or Hold?

Appendix: Statistical Methods.

Glossary.

References.

Index.

Erscheint lt. Verlag 5.7.2001
Reihe/Serie Frontiers in Finance Series
Verlagsort New York
Sprache englisch
Maße 168 x 244 mm
Gewicht 993 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
ISBN-10 0-471-49237-X / 047149237X
ISBN-13 978-0-471-49237-5 / 9780471492375
Zustand Neuware
Informationen gemäß Produktsicherheitsverordnung (GPSR)
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