A Random Walk Down Wall Street: The Time-Tested Strategy for Successful Investing (Ninth Edition)

A Random Walk Down Wall Street: The Time-Tested Strategy for Successful Investing (Ninth Edition)

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  • Author: Burton G. Malkiel
  • Publisher: W. W. Norton & Company
  • ISBN: 0393330338
  • Category : Business & Economics
  • Languages : en
  • Pages : 454

Updated with a new chapter that draws on behavioral finance, the field that studies the psychology of investment decisions, the bestselling guide to investing evaluates the full range of financial opportunities.


A Random Walk Down Wall Street: The Time-Tested Strategy for Successful Investing (Tenth Edition)

A Random Walk Down Wall Street: The Time-Tested Strategy for Successful Investing (Tenth Edition)

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  • Author: Burton G. Malkiel
  • Publisher: W. W. Norton & Company
  • ISBN: 0393340740
  • Category : Business & Economics
  • Languages : en
  • Pages : 493

Presents an informative guide to financial investment, explaining how to maximize gains and minimize losses and examining a broad spectrum of financial opportunities, from mutual funds to real estate to gold.


A Random Walk Down Wall Street

A Random Walk Down Wall Street

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  • Author: Burton Gordon Malkiel
  • Publisher: W. W. Norton & Company
  • ISBN: 9780393057829
  • Category : Business & Economics
  • Languages : en
  • Pages : 422

An informative guide to successful investing, offering a vast array of advice on how investors can tilt the odds in their favour.


A Non-Random Walk Down Wall Street

A Non-Random Walk Down Wall Street

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  • Author: Andrew W. Lo
  • Publisher: Princeton University Press
  • ISBN: 1400829097
  • Category : Business & Economics
  • Languages : en
  • Pages : 449

For over half a century, financial experts have regarded the movements of markets as a random walk--unpredictable meanderings akin to a drunkard's unsteady gait--and this hypothesis has become a cornerstone of modern financial economics and many investment strategies. Here Andrew W. Lo and A. Craig MacKinlay put the Random Walk Hypothesis to the test. In this volume, which elegantly integrates their most important articles, Lo and MacKinlay find that markets are not completely random after all, and that predictable components do exist in recent stock and bond returns. Their book provides a state-of-the-art account of the techniques for detecting predictabilities and evaluating their statistical and economic significance, and offers a tantalizing glimpse into the financial technologies of the future. The articles track the exciting course of Lo and MacKinlay's research on the predictability of stock prices from their early work on rejecting random walks in short-horizon returns to their analysis of long-term memory in stock market prices. A particular highlight is their now-famous inquiry into the pitfalls of "data-snooping biases" that have arisen from the widespread use of the same historical databases for discovering anomalies and developing seemingly profitable investment strategies. This book invites scholars to reconsider the Random Walk Hypothesis, and, by carefully documenting the presence of predictable components in the stock market, also directs investment professionals toward superior long-term investment returns through disciplined active investment management.


Your Money: The Missing Manual

Your Money: The Missing Manual

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  • Author: J.D. Roth
  • Publisher: O'Reilly Media
  • ISBN: 1449389465
  • Category : Business & Economics
  • Languages : en
  • Pages : 336

Keeping your financial house in order is more important than ever. But how do you deal with expenses, debt, taxes, and retirement without getting overwhelmed? This book points the way. It's filled with the kind of practical guidance and sound insights that makes J.D. Roth's GetRichSlowly.org a critically acclaimed source of personal-finance advice. You won't find any get-rich-quick schemes here, just sensible advice for getting the most from your money. Even if you have perfect credit and no debt, you'll learn ways to make your rosy financial situation even better. Get the info you need to make sensible decisions on saving, spending, and investing Learn the best ways to set and achieve financial goals Set up a realistic budget framework and learn how to track expenses Discover proven methods to help you eliminate debt Understand how to use credit wisely Win big by making smart decisions on your home and other big-ticket items Learn how to get the most from your investments by avoiding rash decisions Decide how -- and how much -- to save for retirement


A Random Walk Down Wall Street: The Time-Tested Strategy for Successful Investing (Eleventh Edition)

A Random Walk Down Wall Street: The Time-Tested Strategy for Successful Investing (Eleventh Edition)

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  • Author: Burton G. Malkiel
  • Publisher: W. W. Norton & Company
  • ISBN: 039324895X
  • Category : Business & Economics
  • Languages : en
  • Pages : 275

The best investment guide money can buy, with over 1.5 million copies sold, now fully revised and updated. In today’s daunting investment landscape, the need for Burton G. Malkiel’s reassuring, authoritative, and perennially best-selling guide to investing is stronger than ever. A Random Walk Down Wall Street has long been established as the first book to purchase when starting a portfolio. This new edition features fresh material on exchange-traded funds and investment opportunities in emerging markets; a brand-new chapter on “smart beta” funds, the newest marketing gimmick of the investment management industry; and a new supplement that tackles the increasingly complex world of derivatives.


What Works on Wall Street

What Works on Wall Street

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  • Author: James P. O'Shaughnessy
  • Publisher: McGraw Hill Professional
  • ISBN: 0071469613
  • Category : Business & Economics
  • Languages : en
  • Pages : 433

"A major contribution . . . on the behavior of common stocks in the United States." --Financial Analysts' Journal The consistently bestselling What Works on Wall Street explores the investment strategies that have provided the best returns over the past 50 years--and which are the top performers today. The third edition of this BusinessWeek and New York Times bestseller contains more than 50 percent new material and is designed to help you reshape your investment strategies for both the postbubble market and the dramatically changed political landscape. Packed with all-new charts, data, tables, and analyses, this updated classic allows you to directly compare popular stockpicking strategies and their results--creating a more comprehensive understanding of the intricate and often confusing investment process. Providing fresh insights into time-tested strategies, it examines: Value versus growth strategies P/E ratios versus price-to-sales Small-cap investing, seasonality, and more


The Index Revolution

The Index Revolution

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  • Author: Charles D. Ellis
  • Publisher: John Wiley & Sons
  • ISBN: 1119313090
  • Category : Business & Economics
  • Languages : en
  • Pages : 243

The evidence-based approach to a more worthwhile portfolio The Index Revolution argues that active investing is a loser's game, and that a passive approach is more profitable in today's market. By adjusting your portfolio asset weights to match a performance index, you consistently earn higher rates of returns and come out on top in the long run. This book explains why, and describes how individual investors can take advantage of indexing to make their portfolio stronger and more profitable. By indexing investment operations at a very low cost, and trusting that active professionals have set securities prices as correctly as possible, you will achieve better long-term results than those who look down on passive approaches while following outdated advice that no longer works. "Beating the market" is much harder than it used to be, and investors who continue to approach the market with that mindset populate the rolls of market losers time and time again. This book explains why indexing is the preferred approach in the current investment climate, and destroys the popular perception of passive investing as a weak market strategy. Structure your portfolio to perform better over the long term Trust in the pricing and earn higher rates of return Learn why a passive approach is more consistent and worthwhile Ignore overblown, outdated advice that is doomed to disappoint All great investors share a common secret to success: rational decision-making based on objective information. The Index Revolution shows you a more rational approach to the market for a more profitable portfolio.


Irrational Exuberance

Irrational Exuberance

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  • Author: Robert J. Shiller
  • Publisher: Broadway
  • ISBN:
  • Category : Business & Economics
  • Languages : en
  • Pages : 356

With a new Afterword on the current state of the stock market, the ongoing debate over the "new economy," and the larger implications of "irrational exuberance." In this controversial, hard-hitting account of today's explosive market, Robert J. Shiller, a leading expert on market volatility, evokes Alan Greenspan's infamous 1996 reference, "irrational exuberance," to explain the alternately soaring and declining stock market. Shiller's unconventional yet persuasive argument credits an unprecedented confluence of events with driving stocks to uncharted heights, and he analyzes the structural, cultural, and psychological factors behind these levels of growth not reflected in any other sector of the economy. Now more relevant than ever, this analysis is both chilling and convincing-a must-read for the individual investor, the policy maker, and the investment professional.


The Financial Times Guide to Investing ePub

The Financial Times Guide to Investing ePub

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  • Author: Glen Arnold
  • Publisher: Pearson UK
  • ISBN: 1292005165
  • Category : Business & Economics
  • Languages : en
  • Pages : 643

The full text downloaded to your computer With eBooks you can: search for key concepts, words and phrases make highlights and notes as you study share your notes with friends eBooks are downloaded to your computer and accessible either offline through the Bookshelf (available as a free download), available online and also via the iPad and Android apps. Upon purchase, you'll gain instant access to this eBook. Time limit The eBooks products do not have an expiry date. You will continue to access your digital ebook products whilst you have your Bookshelf installed. The Financial Times Guide to Investing is the definitive introduction to the art of successful stock market investing. Bestselling author Glen Arnold takes you from the basics of what investors do and why companies need them through to the practicalities of buying and selling shares and how to make the most from your money. He describes different types of investment vehicles and advises you on how to be successful at picking companies, understanding their accounts, managing a sophisticated portfolio, measuring performance and risk and setting up an investment club. The 3rd edition of this investing classic will give you everything you need to choose your shares with skill and confidence. Thoroughly updated, this edition now includes: Comprehensive advice about unit trusts and other collective investments A brand new section on dividend payments and what to watch out for An expanded jargon-busting glossary to demystify those complex phrases and concepts Recent Financial Times articles and tables to illustrate and expand on case studies and examples Detailed updates of changes to tax rates and legislation as well as increases in ISA allowances and revisions to capital gains tax