Applied Financial Macroeconomics and Investment Strategy: A Practitioner’s Guide to Tactical Asset Allocation: Global Financial Markets
Autor Robert T. McGeeen Limba Engleză Paperback – 26 mai 2015
Din seria Global Financial Markets
- 15% Preț: 579.01 lei
- 15% Preț: 524.53 lei
- Preț: 348.29 lei
- 20% Preț: 578.68 lei
- Preț: 402.60 lei
- 15% Preț: 691.25 lei
- 15% Preț: 579.82 lei
- Preț: 385.61 lei
- 15% Preț: 579.01 lei
- 15% Preț: 495.29 lei
- 15% Preț: 488.87 lei
- 15% Preț: 533.36 lei
- 11% Preț: 489.41 lei
- Preț: 379.96 lei
- 18% Preț: 732.57 lei
- Preț: 380.92 lei
- Preț: 399.50 lei
- Preț: 410.41 lei
- Preț: 391.27 lei
- Preț: 383.53 lei
- Preț: 379.22 lei
- 15% Preț: 579.01 lei
- Preț: 465.38 lei
-
Preț: 345.71 lei
Nou
Puncte Express: 519
Preț estimativ în valută:
66.16€ • 68.72$ • 54.96£
66.16€ • 68.72$ • 54.96£
Carte disponibilă
Livrare economică 11-25 ianuarie 25
Livrare express 28 decembrie 24 - 03 ianuarie 25 pentru 73.13 lei
Preluare comenzi: 021 569.72.76
Specificații
ISBN-13: 9781349491438
ISBN-10: 1349491438
Pagini: 251
Ilustrații: XVII, 251 p.
Dimensiuni: 155 x 235 x 15 mm
Greutate: 0.39 kg
Ediția:1st ed. 2015
Editura: Palgrave Macmillan US
Colecția Palgrave Macmillan
Seria Global Financial Markets
Locul publicării:New York, United States
ISBN-10: 1349491438
Pagini: 251
Ilustrații: XVII, 251 p.
Dimensiuni: 155 x 235 x 15 mm
Greutate: 0.39 kg
Ediția:1st ed. 2015
Editura: Palgrave Macmillan US
Colecția Palgrave Macmillan
Seria Global Financial Markets
Locul publicării:New York, United States
Cuprins
1. Cycles and Trends 2. Business Cycles and Trends 3. Monetary Policy Cycles and Trends 4. Credit Cycles and Trends 5. Equity Market Cycles and Trends 6. Commodity Market Cycles and Trends 7. Other Major Trend Drivers: Technological Change and Globalization 8. Case Study: The 2007-2008 Financial Crisis
Recenzii
PRAISE FOR Applied Financial Macroeconomics and Investment Strategy
'A valuable resource for investment professionals trying to separate the economic wheat from the chaff. Underneath the noise and day-to-day market volatility there are systematic forces shaping the trends in asset values. This book explains the role macroeconomic factors play in this process.' - Nouriel Roubini, Professor of Economics and International Business, Stern School of Business, New York University, USA and bestselling author of Crisis Economic
'Six years after the crisis and it is time to ask what it all means. McGee puts the crisis into perspective for investors with a clear road map to macroeconomics. He makes the complicated post-crisis world less frightening by showing how it relates to macroeconomic and financial principles.' - Paul Wachtel, Professor of Economics, Stern School of Business New York University, USA
'Finally a book that connects the academic insights of macroeconomics with the real world performance of financial markets. This book should be read by anyone with a stake in understanding the economy and financial markets from students to new financial professionals and veteran investment managers. Few people read the economic tea leaves better than McGee. This book shows how he does it.' - Ed Hyman, Chairman of Evercore ISI, Founder of ISI and Head of Economic Research Team
'This bold and lucid book provides a welcome antidote to fashionable cynicism claiming that stock market movements have become irrational, and economic policies incomprehensible. McGee offers a clear and practical explanation of the fundamental forces driving financial markets and cuts through the cacophony of talking heads who cannot distinguish the random noise of market hysteria from the valuable investment signals provided by serious analysis of business cycles, monetary policies and structural change in the economy. For anyone with substantial assets invested in financial markets, this book could be literally worth its weight in gold.' - Anatole Kaletsky, Chief Economist and Co-Chairman of Gavekal Dragonomics and Chairman of the Institute for New Economic Thinking
'A valuable resource for investment professionals trying to separate the economic wheat from the chaff. Underneath the noise and day-to-day market volatility there are systematic forces shaping the trends in asset values. This book explains the role macroeconomic factors play in this process.' - Nouriel Roubini, Professor of Economics and International Business, Stern School of Business, New York University, USA and bestselling author of Crisis Economic
'Six years after the crisis and it is time to ask what it all means. McGee puts the crisis into perspective for investors with a clear road map to macroeconomics. He makes the complicated post-crisis world less frightening by showing how it relates to macroeconomic and financial principles.' - Paul Wachtel, Professor of Economics, Stern School of Business New York University, USA
'Finally a book that connects the academic insights of macroeconomics with the real world performance of financial markets. This book should be read by anyone with a stake in understanding the economy and financial markets from students to new financial professionals and veteran investment managers. Few people read the economic tea leaves better than McGee. This book shows how he does it.' - Ed Hyman, Chairman of Evercore ISI, Founder of ISI and Head of Economic Research Team
'This bold and lucid book provides a welcome antidote to fashionable cynicism claiming that stock market movements have become irrational, and economic policies incomprehensible. McGee offers a clear and practical explanation of the fundamental forces driving financial markets and cuts through the cacophony of talking heads who cannot distinguish the random noise of market hysteria from the valuable investment signals provided by serious analysis of business cycles, monetary policies and structural change in the economy. For anyone with substantial assets invested in financial markets, this book could be literally worth its weight in gold.' - Anatole Kaletsky, Chief Economist and Co-Chairman of Gavekal Dragonomics and Chairman of the Institute for New Economic Thinking
Notă biografică
Tim McGee (New York, NY) is Director of Macro Strategy & Research at US Trust, Bank of America Private Wealth Management, where he serves on the Investment Strategy Committee. Prior to this role he was a Chief Economist with the company. In this capacity he manages a team that researches global economic trends and turns them into strategies for investment professionals and high net worth clients.