Investing demystified how to invest without speculation and sleepless nights

This book offers a much needed dose of realism to investors: accept that you can't outperform the market and learn how to put together a portfolio suited to your time and attitude to risk.

Detalles Bibliográficos
Otros Autores: Kroijer, Lars, author (author)
Formato: Libro electrónico
Idioma:Inglés
Publicado: Harlow, England : Pearson 2013.
Edición:First edition
Colección:Financial Times series.
Materias:
Ver en Biblioteca Universitat Ramon Llull:https://discovery.url.edu/permalink/34CSUC_URL/1im36ta/alma991009627945006719
Tabla de Contenidos:
  • Acknowledgements Foreword 1. Introduction 2. What is edge over the markets and do you have it? 3. What are the key components of the Rational Portfolio Part II: Rational Portfolio 4. The Minimal Risk Asset - safe low risk returns 5. World equities - increased risk and return 6. The risk of equity markets 7. Adding other government and corporate bonds 8. Incorporating other assets 9. What you have left out of the portfolio and why Part III: Tailoring and Implementing the Rational Portfolio 10. Financial plans and the risks we take 11. Tax 12. Liquidity 13. Expenses 14. Products and implementation Part IV: Other Things to Think About 15. Pensions& Insurance 16. Apocalypse Investing 17. A wishlist to the financial sector 18. Conclusion