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This is the third volume of the Interviewing a Professor of Finance book series. This book presents unbiased, scientific, and comprehensive opinions from numerous finance professionals in academia and industry. It is not a "how to become rich from my experience" guide to wealth, but an objective review on reliable, replicable, and realistic investment methods for people who do not have any finance background. With a layman-friendly style, this book first introduces and explains the foreign exchange market (FOREX). Then it continues on to provide key suggestions and rules regarding currency investments. It discusses the FOREX chart reading and analysis skill, currency features, trading strategies, FOREX risk management, and the technique of trading on events. It also provides a list of common mistakes, drawn from experience and examples from tens of thousands of trades.
This is the second volume of the Interviewing a Professor of Finance book series. This book presents unbiased, scientific, and comprehensive opinions from numerous finance professionals in academia and industry. It is not a "how to become rich from my experience" guide to wealth, but an objective review on reliable, replicable, and realistic investment methods for people who do not have any finance background. Built on the foundation of volume one, this book discusses the economic analysis, industrial analysis, financial reports and how to make use the Yahoo! Finance resources to analyze a stock. This volume also includes chart reading and signaling analysis, portfolio management, and investor psychology. It also provides a detailed analysis of multiple diversification instruments that are commonly used: international equity, bond, private equity, real estate, and so on.
This is the first volume of the Interviewing a Professor of Finance book series. This book presents unbiased, scientific, and comprehensive opinions from numerous finance professionals in academia and industry. It is not a "how to become rich from my experience" guide to wealth, but an objective review on reliable, replicable, and realistic investment methods for people who do not have any finance background. With a layman-friendly style, this book discusses exchange-traded funds, investable assets for individuals, the insights of mutual funds, general investments concepts, jargons, planning, calculation, risk and reward self-evaluation, investment strategies, tactics, position controls, investment timing, risk management, as well as options with their combinations.
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