The Investing Primer
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Author | : Mitchel Myers |
Publisher | : Independently Published |
Total Pages | : 384 |
Release | : 2018-08-05 |
Genre | : |
ISBN | : 9781973557173 |
Investing is a practice that fascinates millions of people. The prospect of making significant amounts of money in stocks, bonds, and other asset classes allures people of all backgrounds. However, few people take the time to acquire the technical knowledge and understanding that enable successful investment. Even fewer people take the time to identify and employ a sound philosophical framework through which to invest. Yet, these people do not deserve the blame, since the cohesive literature on the topic is lacking. There are few books, if any, that arm the novice investor with an understanding of the core technical concepts of investing, while also discussing both the common qualitative characteristics of great investments, and a practical philosophical framework through which to implement this knowledge. Most books in the spaces of corporate finance and investing have one of three critical flaws: 1) an exclusive focus on technical concepts, 2) an exclusive focus on philosophical concepts, or 3) an assumption that the reader understands the very basics of investing and finance. The objective of The Investing Primer is to fill the apparent void in the investing literature by covering basic financial and investing concepts, advanced technical concepts, qualitative analysis, and a proven philosophical framework in a single, concise resource. Ultimately, the engaged reader will have a much deeper knowledge of investing and the ability to utilize this knowledge for significant economic gain.Key Parts:-Part I: Investing Essentials and Acquiring Information-Part II: Accounting, Essential Formulas, and Financial Analysis-Part III: Debt and Capital Structure-Part IV: Valuation and Financial Modeling -Part V: Fundamental Analysis-Part VI: Value Investing-Part VII: Private Equity-Part VIII: Advanced/Selected Topics
Author | : Gianna Bern |
Publisher | : John Wiley & Sons |
Total Pages | : 240 |
Release | : 2011-05-18 |
Genre | : Business & Economics |
ISBN | : 1118128389 |
An energy industry researcher and investment advisor provides a fresh perspective on the economics of energy From major players in the energy industry, such as big oil, to the emerging cap-and-trade market, no other book offers a more complete overview of the energy industry, specifically its economic and financial intricacies, than Investing in Energy: A Primer on the Economics of the Energy Industry. Details how to value and invest in the four big energy sectors: oil, gas, power, and green Describes key financial considerations for the energy sectors, including credit metrics, the importance of liquidity, cash flow, and capital expenditures From Bloomberg, a leading provider of the most up-to-date business news and financial data A comprehensive guide to the economics of the energy industry, Investing in Energy will prove an invaluable resource for traditional energy investors looking to expand into new areas, as well as for eco-investors looking to better understand how energy markets function.
Author | : Claude N. Rosenberg, Jr. |
Publisher | : |
Total Pages | : |
Release | : 2001-01 |
Genre | : |
ISBN | : 9780446676380 |
For almost three decades, the Stock Market Primer has helped nearly half a million investors up the ladder of financial success. Revised, updated, and adjusted to the new tax code, here's sound advice on what to buy, how much to pay, when to sell for maximum return on investment, and much more.
Author | : Michele Cagan |
Publisher | : Simon and Schuster |
Total Pages | : 256 |
Release | : 2016 |
Genre | : Business & Economics |
ISBN | : 1440595135 |
"Contains material adapted from The everything investing book, 3rd edition"--Title page verso.
Author | : CAIA Association |
Publisher | : John Wiley & Sons |
Total Pages | : 1207 |
Release | : 2016-09-27 |
Genre | : Study Aids |
ISBN | : 111901638X |
In-depth Level II exam preparation direct from the CAIA Association CAIA Level II is the official study guide for the Chartered Alternative Investment Analyst professional examination, and an authoritative guide to working in the alternative investment sphere. Written by the makers of the exam, this book provides in-depth guidance through the entire exam agenda; the Level II strategies are the same as Level I, but this time you'll review them through the lens of risk management and portfolio optimisation. Topics include asset allocation and portfolio oversight, style analysis, risk management, alternative asset securitisation, secondary market creation, performance and style attribution and indexing and benchmarking, with clear organisation and a logical progression that allows you to customise your preparation focus. This new third edition has been updated to align with the latest exam, and to reflect the current practices in the field. The CAIA designation was developed to provide a standardized knowledge base in the midst of explosive capital inflow into alternative investments. This book provides a single-source repository of that essential information, tailored to those preparing for the Level II exam. Measure, monitor and manage funds from a risk management perspective Delve into advanced portfolio structures and optimisation strategies Master the nuances of private equity, real assets, commodities and hedge funds Gain expert insight into preparing thoroughly for the CAIA Level II exam The CAIA Charter programme is rigorous and comprehensive, and the designation is globally recognised as the highest standard in alternative investment education. Candidates seeking thorough preparation and detailed explanations of all aspects of alternative investment need look no further than CAIA Level II.
Author | : Dale W R Rosenthal |
Publisher | : |
Total Pages | : 766 |
Release | : 2018-05-28 |
Genre | : |
ISBN | : 9781732235601 |
A Quantitative Exploration of Investments -- So You Can Be a Better Analyst! Quantitative analysts and financial engineers often skip taking an investments course. Many would-be analysts take a less quantitative investments course. This omission robs them of the fundamental knowledge needed to create better, more profitable models. A Quantitative Primer on Investments with R fills that gap by taking a quantitative approach to investments and analyzing real data using R, the open source statistical computing language. This illuminates the commonalities among investment theories and builds intuition. This text collects the author's two decades of experience in finance -- from positions at Goldman Sachs, Morgan Stanley's Equity Trading Lab, and hedge fund Long-Term Capital Management to the quantitative background of a PhD in statistics, teaching at some of the world's top universities, and presenting research at central banks, regulatory agencies, and trading firms. The explanations, questions, and exercises have been tested over a decade and enabled many students to enter the world of quantitative finance and succeed.
Author | : Donald R. Chambers |
Publisher | : CFA Institute Research Foundation |
Total Pages | : 122 |
Release | : 2018 |
Genre | : Business & Economics |
ISBN | : 1944960384 |
Alternative Investments: A Primer for Investment Professionals provides an overview of alternative investments for institutional asset allocators and other overseers of portfolios containing both traditional and alternative assets. It is designed for those with substantial experience regarding traditional investments in stocks and bonds but limited familiarity regarding alternative assets, alternative strategies, and alternative portfolio management. The primer categorizes alternative assets into four groups: hedge funds, real assets, private equity, and structured products/derivatives. Real assets include vacant land, farmland, timber, infrastructure, intellectual property, commodities, and private real estate. For each group, the primer provides essential information about the characteristics, challenges, and purposes of these institutional-quality alternative assets in the context of a well-diversified institutional portfolio. Other topics addressed by this primer include tail risk, due diligence of the investment process and operations, measurement and management of risks and returns, setting return expectations, and portfolio construction. The primer concludes with a chapter on the case for investing in alternatives.
Author | : John Moody |
Publisher | : Prabhat Prakashan |
Total Pages | : 184 |
Release | : 1907-01-01 |
Genre | : Fiction |
ISBN | : |
The Investor's Primer by John Moody: In this informative and practical guide, John Moody provides essential knowledge for investors seeking to navigate the complexities of the financial world. From understanding investment options to analyzing market trends and risk management, "The Investor's Primer" equips readers with valuable tools to make informed and strategic investment decisions. Key Aspects of the Book "The Investor's Primer": Investment Basics: The book covers fundamental concepts and principles essential for investors, including diversification, asset allocation, and long-term planning. Market Analysis: Moody offers insights into market analysis and the factors influencing investment performance, enabling readers to better understand market trends and opportunities. Risk Management: The book emphasizes the importance of risk assessment and management in building a robust and successful investment strategy. John Moody was an American financial analyst and author, born in 1868. He was a prominent figure in the field of financial journalism and investment research during the early 20th century. Moody founded Moody's Investors Service, a renowned credit rating agency, and his insights and analyses were highly regarded by investors and financial professionals. "The Investor's Primer" exemplifies his commitment to educating the public about finance and empowering individuals to make sound financial decisions.
Author | : Stephen G. Moyer |
Publisher | : J. Ross Publishing |
Total Pages | : 518 |
Release | : 2004-11-15 |
Genre | : Business & Economics |
ISBN | : 1932159185 |
Providing theoretical and practical insight, this book presents a conceptual, but not overly technical, outline of the financial and bankruptcy law context in which restructurings take place. The author uses numerous real- world examples to demonstrate concepts and critical issues. Readers will understand the chess-like, multi- move strategies necessary to achieve financially advantageous results.
Author | : Michele Cagan |
Publisher | : Adams Media |
Total Pages | : 272 |
Release | : 2019-06-11 |
Genre | : Business & Economics |
ISBN | : 1507210574 |
A comprehensive, accessible, and easy-to-understand guide to everything you need to know about real estate investing. Real estate investing is a great way to build a business or make money on the side—and you don’t have to be a full-time landlord to do it. Real Estate Investing 101 walks you through everything you need to know, from raising capital to uncovering new opportunities. You’ll learn the difference between purchasing traditional property and investing in funds such as REITs and interval funds—plus new types of realty investment, like crowd-funded real estate, the senior housing boom, eco-housing, and blockchain technology. With the expert advice in Real Estate Investing 101 to guide you, you can invest with confidence and generate profits.