How to Use Spread Betting, CFDs, Options, Warrants and Trackers to Boost Returns and Reduce Risk This book is a simple, practical guide to how you can use some of the newer investment products like spread betting, binary betting, contracts for difference, covered warrants and exchange-traded funds, as well as older ones like futures and options, to help your investing. In different ways, each of these products allows you either to:- boost the returns you get in exchange for taking on greater risk; - hedge your bets in exchange for slightly lower returns; - use much less capital to achieve the same market exposure; or - move money into and out of a range of markets and sectors efficiently. The author believes they are tools that all investors need to know about and be able to use when the occasion demands it. They should help you successfully confront any lengthy period of trendless or vo
A focused, streamlined approach to implementing an effective global financial management strategy. Tomorrow's business leaders will be expected to comprehend global markets and lead their organizations through a constantly changing global environment. By grounding concepts in the context of illuminating case studies and real-world examples, Fundamentals of Multinational Finance familiarizes readers with the fundamental concepts and tools necessary to implement an effective global financial management strategy. This edition includes the many new financial management challenges faced by today's business leaders-while still providing readers with a streamlined text that gets straight to the important concepts. Titel: Fundamentals of multinational finance Forfattere: Moffett,Stonehill,Eiteman Udgave: Fourth Edition Genre: Faglitteratur Sammendrag: This is a special edition widely used by col
Binding: Taschenbuch, Label: La Revue Banque, Publisher: La Revue Banque, NumberOfItems: 1, PackageQuantity: 1, medium: Taschenbuch, publicationDate: 2001-09-11, authors: Grard Rouyer, Alain Choinel, ISBN: 2863252054.
"Børsens Aktiebog II" er en fortsættelse af en grundlæggende aktiebog og fungerer som en praktisk håndbog i brugen af finansielle aktieinstrumenter på Københavns Fondsbørs. Forfatterne gennemgår optioner, futures, KFX-indekserede produkter og strategier til risikostyring, porteføljesammensætning og spekulation. Bogen viser, hvordan private investorer kan udnytte de professionelle værktøjer, der findes på børsen, og giver eksempler på, hvordan forskellige instrumenter kan kombineres til avancerede investeringsstrategier. Type: Hardcover Dansk fagbog om investering og avancerede aktieinstrumenter. "Børsens Aktiebog II" fokuserer på brugen af finansielle aktieinstrumenter som anvendes på Københavns Fondsbørs. Bogen gennemgår blandt andet optioner på danske aktier, futures på KFX-indekset, KFX-aktieindeksobligationer, porteføljestrategier med gearing og immunisering samt forskellige strategi
*NO.1 SUNDAY TIMES BESTSELLER* 'An unforgettable story of greed, financial madness and moral decay' Rory Stewart 'Hilarious, shocking and deeply sad — often in the same sentence' Sunday Times 'The Wolf of Wall Street with a moral compass' Irvine Welsh An outrageous, white-knuckle journey to the dark heart of an intoxicating world - from someone who survived the trading game and then blew it all wide open 'If you were gonna rob a bank, and you saw the vault door there, left open, what would you do? Would you wait around? Ever since he was a kid, kicking broken footballs on the streets of East London in the shadow of Canary Wharf's skyscrapers, Gary wanted something better. Something a whole lot bigger. Then he won a competition run by a bank: 'The Trading Game'. The prize: a golden ticket to a new life, as the youngest trader in the whole city. A place where you could make more money than
A Guide to London's Global Financial Centre By many measures, London is now the leading financial hub in the world, outpacing New York City and Hong Kong. Ignorance about The City, Londons financial district, is no longer an option for those doing business in the global financial markets. Forlag: Bloomberg Press Udgivelsesår: 2008 Sider: 388 Sprog: Engelsk
This introduction to finance has a broad scope, placing an emphasis on general principles within the field. It builds its presentation upon the three 'pillars' of finance: optimization over time, asset valuation and risk management. For undergraduate Corporate Finance, MBA Finance course, and Financial Economics. This significant finance text has a broader scope and greater emphasis on general principles than most other introductory finance texts, which typically focus exclusively on corporate finance. This text incorporates Corporate Finance, investments, and institutions. Acclaimed authors Bodie and Merton offer an approach balanced among the three "pillars" of finance optimization over time, asset valuation, and risk management. The book encompasses all subfields of finance within a single unifying conceptual framework, and offers the "big picture" of resource allocation over time und