LeafKlimaneutrales Unternehmen CoinFaire Preise PackageSchneller und kostenloser Versand ab 14,90 € Bestellwert
Stocks for the Long Run: The Definitive Guide to Financial Market Returns & Long-Term Investment Strategies

Stocks for the Long Run: The Definitive Guide to Financial Market Returns & Long-Term Investment Strategies

inkl. MwSt. Versandinformationen

Artikel zZt. nicht lieferbar

Artikel zZt. nicht lieferbar

Kurzinformation
Sprache:
Englisch
ISBN:
0071800514
Seitenzahl:
448
Auflage:
-
Erschienen:
2014-02-20
Dieser Artikel steht derzeit nicht zur Verfügung!

Gebrauchte Bücher kaufen

Information
Das Buch befindet sich in einem sehr guten, unbenutzten Zustand.
Information
Das Buch befindet sich in einem sehr guten, gelesenen Zustand. Die Seiten und der Einband sind intakt. Buchrücken/Ecken/Kanten können leichte Gebrauchsspuren aufweisen.
Information
Das Buch befindet sich in einem guten, gelesenen Zustand. Die Seiten und der Einband sind intakt. Buchrücken/Ecken/Kanten können Knicke/Gebrauchsspuren aufweisen.
Information
Das Buch befindet sich in einem lesbaren Zustand. Die Seiten und der Einband sind intakt, jedoch weisen Buchrücken/Ecken/Kanten starke Knicke/Gebrauchsspuren auf. Zusatzmaterialien können fehlen.

Neues Buch oder eBook (pdf) kaufen

Information
Neuware - verlagsfrische aktuelle Buchausgabe.
Natural Handgeprüfte Gebrauchtware
Coins Schnelle Lieferung
Check Faire Preise

inkl. MwSt. Versandinformationen

Artikel zZt. nicht lieferbar

Artikel zZt. nicht lieferbar

Weitere Zahlungsmöglichkeiten  
Zahlungsarten

Beschreibung

Stocks for the Long Run: The Definitive Guide to Financial Market Returns & Long-Term Investment Strategies

The stock-investing classic--UPDATED TO HELP YOU WIN IN TODAY'S CHAOTIC GLOBAL ECONOMY Much has changed since the last edition of Stocks for the Long Run. The financial crisis, the deepest bear market since the Great Depression, and the continued growth of the emerging markets are just some of the contingencies directly affecting every portfolio inthe world. To help you navigate markets and make the best investment decisions, Jeremy Siegel has updated his bestselling guide to stock market investing. This new edition of Stocks for the Long Run answers all the important questions of today: How did the crisis alter the financial markets and the future of stock returns? What are the sources of long-term economic growth? How does the Fed really impact investing decisions? Should you hedge against currency instability? Stocks for the Long Run, Fifth Edition, includes brand-new coverage of: THE FINANCIAL CRISIS Siegel provides an expert's analysis of the most important factors behind the crisis; the state of current stability/instability of the financial system and where the stock market fits in; and the viability of value investing as a long-term strategy. CHINA AND INDIA The economies of these nations are more than one-third larger than they were before the 2008 financial crisis; you'll get the information you need to earn long-termprofits in this new environment. GLOBAL MARKETS Learn all there is to know about the nature, size, and role of diversification in today's global economy; Siegel extends his projections of the global economy until the end of this century. MARKET VALUATION Can stocks still provide 6 to 7 percent per year after inflation? This edition forecasts future stock returns and shows how to determine whether the market is overvalued or not. Essential reading for every investor and advisor who wants to fully understand the forces that move today's markets, Stocks for the Long Run provides the most complete summary available of historical trends that will help you develop a sound and profitable long-term portfolio. PRAISE FOR STOCKS FOR THE LONG RUN: "Jeremy Siegel is one of the great ones." -JIM CRAMER, CNBC's Mad Money "[Jeremy Siegel's] contributions to finance and investing are of such significance as to change the direction of the profession." -THE FINANCIAL ANALYST INSTITUTE "A simply great book." -FORBES "One of the top ten business books of the year." -BUSINESSWEEK "Should command a central place on the desk of any 'amateur' investor or beginning professional." -BARRON'S "Siegel's case for stocks is unbridled and compelling." -USA TODAY "A clearly written, neatly organized, highly persuasive exposition that lifts the veil of mystery from investing." -JOHN C. BOGLE, founder and former Chairman, The Vanguard Group von Siegel, Jeremy J.

Produktdetails

Einband:
Gebunden
Seitenzahl:
448
Erschienen:
2014-02-20
Sprache:
Englisch
EAN:
9780071800518
ISBN:
0071800514
Gewicht:
874 g
Auflage:
-
Alle gebrauchten Bücher werden von uns handgeprüft.
So garantieren wir Dir zu jeder Zeit Premiumqualität.

Über den Autor

Jeremy J. Siegel is a professor of finance at the Wharton School of the University of Pennsylvania. Professor Siegel received his Ph.D. from M.I.T. and taught for four years at the University of Chicago before joining the Wharton faculty in 1976. He has written and lectured extensively about the economy and financial markets, monetary policy and interest rates, and stock and bond returns. Along with heading the macroeconomics module of the Morgan Bank Finance Program in New York, he is the academic director of the U.S. Securities Industry Institute and is on the Advisory Board of the Asian Securities Industry Association. Professor Siegel is courted by nearly every Wall Street firm as a consultant and lecturer and has appeared on CNBC, PBS, Wall Street Week, and NPR.


Entdecke mehr vom Verlag


Neu
42,79 €
Entdecke mehr zum Thema
frontend/listing/product-box/box-product-slider.tpl
frontend/listing/product-box/box-product-slider.tpl