The Financial Times Guide to Understanding Finance
A No-Nonsense Companion to Financial Tools and Techniques
(Sprache: Englisch)
'This delivers the essential concepts of modern finance clearly and concisely. My advice: buy this book and keep it close at hand!' Mark Kritzman, President and CIO, Windham Capital Management, LLC
'Whilst there are a number of books that purport to...
Leider schon ausverkauft
versandkostenfrei
Buch (Kartoniert)
37.50 €
Produktdetails
Produktinformationen zu „The Financial Times Guide to Understanding Finance “
Klappentext zu „The Financial Times Guide to Understanding Finance “
'This delivers the essential concepts of modern finance clearly and concisely. My advice: buy this book and keep it close at hand!' Mark Kritzman, President and CIO, Windham Capital Management, LLC
'Whilst there are a number of books that purport to offer a quick reference for business professionals, this is the only one that really manages to do this in an effective way.' Valerio Potì, Director of the MSc in Finance and Capital Markets Program, Dublin City University Business School
'This is corporate finance served in bite-sized and digestible portions.' Elroy Dimson, Emeritus Professor of Finance, London Business School
'Javier Estrada is to be commended for translating deep economic ideas into terms that are immediately usable, compelling and valuable.' Robert F. Bruner, Dean of Darden Business School, University of Virginia
Whether you are an executive or a student, beginner or expert, this book is designed to explain and illustrate the working essentials of finance with clarity and speed.
The Financial Times Guide to Understanding Finance deliberately combines essential theory with real-world application, using short, focused chapters to help you find what you need and implement right away.
Originally published as Finance in a Nutshell, this new edition includes:
Full coverage of risk and return including CAPM, the three-factor model and risk-adjusted returns Stocks and bonds including versions of the DCF model, reverse valuation, relative valuation and issues related to fixed-income securities, pricing and sources of risk Case studies and examples from companies such as Apple, Merrill Lynch, Microsoft, Berkshire Hathaway and Johnson & Johnson Accompanying Excel spreadsheets of all the calculations and formulas at www.pearsoned.co.uk/estrada
Inhaltsverzeichnis zu „The Financial Times Guide to Understanding Finance “
Publisher's acknowledgments Preface to the second edition
Preface to the first edition
PART I: RISK AND RETURN
1 Returns (I): Basic concepts
2 Returns (II): Mean returns
3 Risk (I): Total risk
4 Risk and return (I): Portfolios
5 Risk (II): Diversification &
Autoren-Porträt von Javier Estrada
Javier Estrada holds an M.S. in Finance and a Ph.D. in Economics both from the University of Illinois at Urbana-Champaign. He is currently an associate professor at the IESE Business School in Barcelona, Spain; the co-editor of the Emerging Markets Review; and a wealth management advisor at Sports Global Consulting. He has published extensively in international journals, written many cases for class discussion, and lectured throughout the world.
Bibliographische Angaben
- Autor: Javier Estrada
- 2011, 2 ed, 432 Seiten, mit Abbildungen, Maße: 17,4 x 24,1 cm, Kartoniert (TB), Englisch
- Verlag: Financial Times Prentice Hall
- ISBN-10: 027373802X
- ISBN-13: 9780273738022
- Erscheinungsdatum: 12.05.2011
Sprache:
Englisch
Kommentar zu "The Financial Times Guide to Understanding Finance"
0 Gebrauchte Artikel zu „The Financial Times Guide to Understanding Finance“
Zustand | Preis | Porto | Zahlung | Verkäufer | Rating |
---|
Schreiben Sie einen Kommentar zu "The Financial Times Guide to Understanding Finance".
Kommentar verfassen