The End of the Risk-Free Rate: Investing When Structural Forces Change Government Debt
Autor Ben Emonsen Limba Engleză Hardback – 16 iul 2013
A NEW FINANCIAL STRATEGY FOR A NEW FINANCIAL WORLD
As an investor, you've probably taken advantage of the risk-free rates in the postcrash economy by putting your money into bonds, stocks, commodities, and currencies. With the rise of government debt across the globe, you can no longer rely on the notion of "safe" to perform asexpected. You need to adapt your investing strategy to a new financial reality.Filled with expert tips, this step-by-step guide walks you through all of your investment options, showing you how each will be affected by the end of the risk-freerate. You'll learn:
- What you should know before buying bonds and Treasury bills
- How to recognize and invest in the strongest emerging markets
- How to choose between government and corporate options
- What the debt-to-GDP ratio means for you and your investments
- How to evaluate foreign markets in the rapidly changing global economy
An essential guide in these fascinating times, The End of the Risk-Free Rate marks a new beginning for today's investor.
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Specificații
ISBN-13: 9780071819527
ISBN-10: 0071819525
Pagini: 256
Dimensiuni: 158 x 236 x 23 mm
Greutate: 0.51 kg
Editura: McGraw Hill Education
Colecția McGraw-Hill
Locul publicării:United States
ISBN-10: 0071819525
Pagini: 256
Dimensiuni: 158 x 236 x 23 mm
Greutate: 0.51 kg
Editura: McGraw Hill Education
Colecția McGraw-Hill
Locul publicării:United States
Cuprins
A Prelude: Financial Markets Finance ix
Part I: End of the Risk-Free Rate 1
Chapter 1: The End of the Risk-Free Rate 3
Chapter 2: Puzzles 33
Chapter 3: A Way of Life 61
Part II: Investment Implications 97
Chapter 4: Some Quantifi cation 99
Chapter 5: Where and What to Invest In: The “Alternatives” 135
Chapter 6: Bubble Management 183
References 217
Index 223
Part I: End of the Risk-Free Rate 1
Chapter 1: The End of the Risk-Free Rate 3
Chapter 2: Puzzles 33
Chapter 3: A Way of Life 61
Part II: Investment Implications 97
Chapter 4: Some Quantifi cation 99
Chapter 5: Where and What to Invest In: The “Alternatives” 135
Chapter 6: Bubble Management 183
References 217
Index 223