Investment Philosophies

Investment Philosophies

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  • Author: Aswath Damodaran
  • Publisher: John Wiley & Sons
  • ISBN: 1118235614
  • Category : Business & Economics
  • Languages : en
  • Pages : 615

The guide for investors who want a better understanding of investment strategies that have stood the test of time This thoroughly revised and updated edition of Investment Philosophies covers different investment philosophies and reveal the beliefs that underlie each one, the evidence on whether the strategies that arise from the philosophy actually produce results, and what an investor needs to bring to the table to make the philosophy work. The book covers a wealth of strategies including indexing, passive and activist value investing, growth investing, chart/technical analysis, market timing, arbitrage, and many more investment philosophies. Presents the tools needed to understand portfolio management and the variety of strategies available to achieve investment success Explores the process of creating and managing a portfolio Shows readers how to profit like successful value growth index investors Aswath Damodaran is a well-known academic and practitioner in finance who is an expert on different approaches to valuation and investment This vital resource examines various investing philosophies and provides you with helpful online resources and tools to fully investigate each investment philosophy and assess whether it is a philosophy that is appropriate for you.


The Responsible Investor

The Responsible Investor

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  • Author: Anna Hyrske
  • Publisher: Taylor & Francis
  • ISBN: 1000737772
  • Category : Business & Economics
  • Languages : en
  • Pages : 209

• Provides an easy-to-access guide to what sustainable investing is and how it can influence investment decisions. • Written by experienced investment professionals, the book covers the full scale of Responsible Investment approaches and asset classes. • The book is based on global best practice and definitions as set by the UN-backed Principles for Responsible Investment (PRI), which is today the leading institution for responsible investors.


Trading and Money Management in a Student-Managed Portfolio

Trading and Money Management in a Student-Managed Portfolio

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  • Author: Brian Bruce
  • Publisher: Academic Press
  • ISBN: 0080911935
  • Category : Business & Economics
  • Languages : en
  • Pages : 504

Trading and Money Management in a Student-Managed Portfolio is a hands-on textbook for student-managed investment funds (SMIFs). The book presents the applied material that textbooks on portfolios and investments always overlook. Its focus on "how-to" questions summarizes the disciplines and skills necessary for trading. Covering equities, hedge funds and derivatives, and fixed income, it captures the breadth and detail necessary for developing and executing trading strategies. Developed specifically for SMIF courses, the book features calculations, examples, and software that help you move from talking about markets to taking positions in them. Methodically summarizes the disciplines and skills necessary for trading Teaches you to build a ranking model for securities and write a research report for a sell-side firm Covers equities, fixed income, derivatives, and hedge funds


Portfolio Management

Portfolio Management

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  • Author: John Bonner
  • Publisher: Harriman House Limited
  • ISBN: 0857194836
  • Category : Business & Economics
  • Languages : en
  • Pages : 168

Investing can seem simple, but there are an infinite number of ways to get to your goals and an infinite number of ways to fail. To sharpen your investment skills, this book guides you through the key aspects of the fund management profession, working from a macro-industry overview to the micro details of security-valuation techniques, combining the benefits of academic experience with decades of industry experience. This is something also found in the complementary online Market-Class investment simulator, where you can manage a $100m fund in a dynamic market and your decisions and those of fellow fund managers 'make the market'. A smart investor doesn't rely on luck or guts, but on learning as much as possible to make the best decisions. Portfolio Management and Market-Class, with their uniquely rich insight into the real-life workflow of portfolio management, are a vital component in any investor's education.


Active Balance Sheet Management

Active Balance Sheet Management

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  • Author: Maulik N. Parekh
  • Publisher: Partridge Publishing Singapore
  • ISBN: 1543766153
  • Category : Business & Economics
  • Languages : en
  • Pages : 152

MUST READ BOOK FOR STRATEGY MANAGEMENT CONSULTANTS, NON-FINANCIAL SENIOR MANAGERS, GRADUATE BUSINESS STUDENTS Praise for the Book : Referring to his experiences living in various continents and reflecting on the last several recessions, the book helps understand key techniques to manage risks and liquidity that can be make-or-break for companies. -Mr. Jatan Shah, MS(IE), ex-Mckinsey, COO, CTO, QSC Audio (California, USA) This book is a must-read for CFOs who need to keep abreast with the disruptive financial and technological changes taking place while also taking cognizance of identifying new risks and unprecedented scenarios. As the book suggests, treasurers need to be agile and always plan for contingencies. I highly recommend this very well-written, hands-on book with pragmatic guidance. -Mr. Deepak Parekh, Chairman, HDFC Ltd. (India) Maulik Parekh's perspective on ABSM from a practitioner's perspective is an interesting and engaging bird's eye view of the world of money and finance, seen with the thoughtful risk-taker's lens of a pragmatic professional. The book seamlessly weaves seemingly disconnected areas from the interrelated worlds of finance, portfolio management, and economics. - Mr. JK Khalil, MBA '10 (Chicago Booth), ex Banker, ex Consultant, Regional General Manager at Mastercard Book Summary: Active Balance Sheet Management (ABSM) - a Treasury Perspective is the outcome of the experiential learning of the author as an asset liability management (ALM) professional in the dealing room during the Lehman crisis (aka global financial crisis) when the "too big to fail" theories went for a tailspin due to liquidity crunch in money markets. While the boiler room environment as a dealer gave a pragmatic perspective on the financial crisis and day-to-day operational challenges of funding the balance sheet and quoting interbank (LIBOR, EIBOR, MIBOR, etc.) rates, the author realized the bigger challenges in orchestrating the holistic balance sheet management framework as head of ALM in a bank treasury. While governing the ALCO and being a credit committee member, the author implemented the stress testing and contingency planning exercises along with experiencing the importance of the mantle of leadership in large organizations, which typically fails to ask the tough questions. The purpose of the book is the transfer of these ABSM best practices to nonfinancial sector finance managers, business and management academic programs, and management consultants wanting a bird's-eye view of the technical and tactical aspects of balance sheet management. This book will give a holistic framework and market-driven perspective on actively governing the balance sheet of a company using different diagnostic and execution frameworks. The ultimate message of the book is to drive home the point that leadership and management caliber ultimately weighs on the ABSM technical framework, and envisioning without execution is hallucination.


Investment Strategies Crash Course

Investment Strategies Crash Course

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  • Author: IntroBooks
  • Publisher: IntroBooks
  • ISBN:
  • Category : Business & Economics
  • Languages : en
  • Pages : 40

Investments may sound complex and for those who are not aware of the different types of investments and the terminology used by investors may find it confounding in the early stages. However, once you are a part of the investment world, you will soon get used to hearing the different investment terms. In addition to the terms, investments also require prudence and a good judgment when you have to choose from a number of different investment plans. This is the reason why different investment strategies have come in place. These strategies work as a guide for many investors who are looking for assistance when it comes to investing profitably. The thing with these investment strategies is that they do not come in a ‘one size fits all’ form. Investment strategies vary according to the objectives of the investor. Usually, investors have short term and long term goals with investments. By choosing one investment strategy over the other they identify their investment goals with the strategy they have picked. It is also important for investors to stick to a particular strategy rather than hop from one strategy to another because it can be chaotic to change investment objectives frequently. This however doesn’t mean that you end up sticking to an investment strategy which is not meeting your expectations.


Investment Beliefs

Investment Beliefs

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  • Author: K. Koedijk
  • Publisher: Springer
  • ISBN: 0230307574
  • Category : Business & Economics
  • Languages : en
  • Pages : 187

Having the right investment beliefs and putting them into practice is key to delivering the right results. Decision makers in the investment industry should worry less about the stocks and products they pick for their clients and more about getting the big picture right; developing investment beliefs are instrumental in making the right choices.


Investment Philosophies + Lb Set

Investment Philosophies + Lb Set

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  • Author: Aswath Damodaran
  • Publisher:
  • ISBN: 9781118452325
  • Category :
  • Languages : en
  • Pages :


Philip A. Fisher Collected Works, Foreword by Ken Fisher

Philip A. Fisher Collected Works, Foreword by Ken Fisher

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  • Author: Philip A. Fisher
  • Publisher: John Wiley & Sons
  • ISBN: 1118388143
  • Category : Business & Economics
  • Languages : en
  • Pages : 580

A classic collection of titles from one of the most influential investors of all time: Philip A. Fisher Regarded as one of the pioneers of modern investment theory, Philip A. Fisher's investment principles are studied and used by contemporary finance professionals including Warren Buffett. Fisher was the first to consider a stock's worth in terms of potential growth instead of just price trends and absolute value. His principles espouse identifying long-term growth stocks and their emerging value as opposed to choosing short-term trades for initial profit. Now, for the first time ever, Philip Fisher Investment Classics brings together four classic titles, written by the man who is know as the "Father of Growth Investing." Common Stocks and Uncommon Profits was the first investing book to reach the New York Times bestseller list. Outlining a 15-step process for identifying profitable stocks, it is one of the most influential investing books of all time Paths to Wealth Through Common Stocks, expands the innovative ideas in Fisher's highly regarded Common Stocks and Uncommon Profits, and explores how profits have been, and will continue to be made, through common stock ownership—asserting why this method can increase profits and reduce risk Also included is Conservative Investors Sleep Well and Developing an Investment Philosophy Designed with the serious investor in mind, Philip Fisher Investment Classics puts the insights of one of the greatest investment minds of our time at your fingertips.


Investment Fables

Investment Fables

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  • Author: Aswath Damodaran
  • Publisher: FT Press
  • ISBN: 9780131403123
  • Category : Business & Economics
  • Languages : en
  • Pages : 584

One of the world's leading investment researchers runs the numbers on some of today's most widely touted strategies, objectively answering the questions brokers cannot answer and presents exactly what works and what doesn't.