Prečítate na zariadeniach:

  • Pocketbook
  • Kindle
  • Smartfón či tablet s príslušnou aplikáciou
  • Počítač s príslušnou aplikáciou

Nie je možné meniť veľkosť písma, formát je preto vhodný skôr pre väčšie obrazovky.

Viac informácií v našich návodoch

Prečítate na zariadeniach:

  • Pocketbook
  • Kindle
  • Smartfón či tablet s príslušnou aplikáciou
  • Počítač s príslušnou aplikáciou

Viac informácií v našich návodoch

Prečítate na:

Neprečítate na:

Ako čítať e-knihy zabezpečené cez Adobe DRM?
Kniha: Expected Returns (Antti Ilmanen). Wiley, 2011
Kniha: Expected Returns (Antti Ilmanen). Wiley, 2011

Expected Returns

Master market rewards. This guide offers a comprehensive toolkit for investors, challenging narrow perspectives and excessive focus on historical data. It synthesizes theory,... Čítať viac

Séria
The Wiley Finance Series
Vydavateľstvo
Wiley, 2011
Počet strán
608

Master market rewards. This guide offers a comprehensive toolkit for investors, challenging narrow perspectives and excessive focus on historical data. It synthesizes theory, evidence, and practical insights for a more successful and discerning approach to estimating future investment returns. Čítať viac

  • Pevná väzba
  • Angličtina
Cena: 63,75 €
Na objednávku
Dodanie môže trvať viac ako 30 dní
Tento produkt je na objednávku a jeho dodanie môže trvať aj viac ako 30 dní. Urobíme však všetko pre to, aby sme vašu objednávku odoslali čo najskôr a o jej ceste vás budeme včas informovať.

Naši škriatkovia odporúčajú

Nová letná romantika. Talianske tajomstvo lásky.Talianske tajomstvo lásky, Lea Winterová. Vydavateľstvo Verbarium, 2026. Zistiť viac

Viac o knihe

Expected Returns is a one-stop reference that gives investors a comprehensive toolkit for harvesting market rewards from a wide range of investments. Written by an experienced portfolio manager, scholar, strategist, investment advisor and hedge fund trader, this book challenges investors to broaden their minds from a too-narrow asset class perspective and excessive focus on historical performance. Coverage includes major asset classes (stocks, bonds, alternatives), investment strategies (value, carry, momentum, volatility) and the effects of underlying risk factors (growth, inflation, illiquidity, tail risks). Judging expected returns requires balancing historical returns with both theoretical considerations and current market conditions. Expected Returns summarizes the state of knowledge on all of these topics, providing extensive empirical evidence, surveys of risk-based and behavioral theories, and practical insights.

"This is the best book on active management ever written - and it achieves that status without mentioning a single stock or bond by name. Anyone who performs the rigorous analysis Ilmanen describes - admittedly a neat trick, since the world's most sophisticated investors struggle to do it successfully - will beat the market."
Laurence B. Siegel, Former Director of Research, The Ford Foundation

"Antti Ilmanen shows the way forward for the investment management profession in this remarkable book. In a comprehensive and impressive way, he combines financial theory, historical performance data and forward-looking indicators, into a consistent framework for assessing expected returns and risk. His approach is both scientific and practical, based on decades of studies and his own trading experience. With a touch of personal wisdom and humility, Ilmanen's book is a fascinating and educational journey into the future of investment management."
Knut N. Kjaer, Founding CEO of the Norwegian Government Pension Fund/NBIM and former president of RiskMetrics Group

"Ilmanen's wonderful book manages to be exquisitely readable while covering just about every aspect of the investment process. Filled with many, many fresh and useful insights. This volume deserves to be read and then kept close at hand - because it is sure to be needed again and again."
Martin L. Leibowitz, Managing Director, Morgan Stanley, and former CIO, TIAA-CREF

"Job one for any investor is to estimate asset class returns. For the first time, Antti Ilmanen has assembled into one volume all of the tools necessary for this task: for the working money manager, a unique treasure trove of analytical techniques and empirical evidence; for the academic, a comprehensive guide to the relevant academic literature; and for the consultant, a blinding light with which to illuminate performance. Expected Returns is destined to occupy the front shelves of investment professionals around the world."
William J. Bernstein, author of The Intelligent Asset Allocator, The Birth of Plenty, and A Splendid Exchange, and co-principal of Efficient Frontier Advisors

"Antti's synthesis of experience and theory has given us a book which fills a major gap in the literature on investing. Amazing, but true, this is the first book dedicated to the critical and challenging task of estimating how much we should expect to earn on our investments. This illuminating book, teaming with valuable insights that have never before been gathered under one roof, cannot fail to make the reader a more successful and discerning investor."
Victor Haghani, Associate Lecturer, London School of Economics, and former founding partner of LTCM

"Ilmanen has written a thorough and detailed analysis of one of the central issues in investing."
Ken French, Heidt Professor of Finance, Dartmouth College

"Investors' decisions should be evidence based. Antti Ilmanen assembles a global body of evidence, and interprets it with insight. Read this book and you will improve your understanding of the future."
Elroy Dimson, Emeritus Professor of Finance, London Business School

"If I could choose only one book on active management, I would choose Expected Returns. This book is extremely thorough and well researched, yet direct and to the point."
Roger G. Ibbotson, Professor in the Practice of Finance, Yale School of Management, and Chairman and CIO of Zebra Capital Management
Naše katalógové číslo
3047583
Originálny názov
Expected Returns
Počet strán
608
Väzba
pevná väzba
Rozmer
177×245 mm
Hmotnosť
1180 g
ISBN
9781119990727
Rok vydania
2011
Jazyk
angličtina
Séria
The Wiley Finance Series
Vydavateľstvo
Wiley
Kategorizácia

Našli ste chybu alebo škodlivý obsah? Dajte nám, prosím, vedieť!

Nahlásiť chybu alebo škodlivý obsah

Máte o knihe viac informácií ako je na tejto stránke alebo ste našli chybu? Budeme vám veľmi vďační, ak nám pomôžete s doplnením informácií na našich stránkach.

Hodnotenia

Ako sa páčila kniha vám?

Co se stane nyní a za chvíli není důležité - dokud je den po zítřku stejný jako den před včerejškem.
Kniha: Na západ od ráje (Harry Harrison), 2019
Na západ od ráje
  • Harry Harrison