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At the crest of the tidal wave / Robert Rougelot Prechter (1997)
Títol : At the crest of the tidal wave : a forecast for the great bear market Tipus de document : text imprès Autors : Robert Rougelot Prechter, Autor Menció d'edició : Abridged ed. Editorial : Chichester : John Wiley & Sons Data de publicació : 1997 Nombre de pàgines : 359 p. ll. : il. Dimensions : 23 cm ISBN/ISSN/DL : 978-0-471-97954-8 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Accions (Borsa)
Especulacions mercantils
InversionsParaules clau : Bear markets Classificació : 5 Mercats financers. Borsa de valors Resum : At the Crest of the Tidal Wave: A Forecast for the Great Bear Market presents overwhelming evidence for a historic turn a turn that will cause catastrophic loss to the unprepared and great rewards to the prepared. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=8 At the crest of the tidal wave : a forecast for the great bear market [text imprès] / Robert Rougelot Prechter, Autor . - Abridged ed. . - Chichester : John Wiley & Sons, 1997 . - 359 p. : il. ; 23 cm.
ISBN : 978-0-471-97954-8
Inclou índex
Idioma : Anglès (eng)
Matèries : Accions (Borsa)
Especulacions mercantils
InversionsParaules clau : Bear markets Classificació : 5 Mercats financers. Borsa de valors Resum : At the Crest of the Tidal Wave: A Forecast for the Great Bear Market presents overwhelming evidence for a historic turn a turn that will cause catastrophic loss to the unprepared and great rewards to the prepared. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=8 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10110579 5 Pre Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Begin Forex / Gideon N. Louw ([2003?])
Títol : Begin Forex Tipus de document : text imprès Autors : Gideon N. Louw, Autor Editorial : [s.l.] : Beginforex.com Data de publicació : [2003?] Col·lecció : Trader to trader Nombre de pàgines : 216 p. ll. : il., gràf. Dimensions : 24 cm Nota general : Inclou bibliografia Idioma : Anglès (eng) Matèries : Canvi exterior
Especulacions mercantilsClassificació : 974 Política de divises. Canvi de moneda Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Begin Forex [text imprès] / Gideon N. Louw, Autor . - [s.l.] : Beginforex.com, [2003?] . - 216 p. : il., gràf. ; 24 cm. - (Trader to trader) .
Inclou bibliografia
Idioma : Anglès (eng)
Matèries : Canvi exterior
Especulacions mercantilsClassificació : 974 Política de divises. Canvi de moneda Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10112600 974 Lou Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
DisponibleDonació: Ramon Alfonso Breve historia de la euforia financiera / John Kenneth Galbraith (2011)
Títol : Breve historia de la euforia financiera Tipus de document : text imprès Autors : John Kenneth Galbraith (1908-2006), Autor Menció d'edició : 1a ed. en esta presentación Editorial : Barcelona : Ariel Data de publicació : 2011 Nombre de pàgines : 152 p. ll. : il. Dimensions : 23 cm ISBN/ISSN/DL : 978-84-344-6952-5 Nota general : Tít. orig.: A short history of financial euphoria Idioma : Castellà (spa) Idioma original : Anglès (eng) Matèries : Especulacions mercantils Classificació : 016 Crisis econòmiques i financeres Resum : En apenas 140 páginas, Galbraith pasa revista a las crisis más relevantes de la historia desde la tulipamanía del siglo XVII hasta el crash de 1987 y subraya las características que comparten con el propósito de extraer lecciones válidas para el futuro. Ahora, en plena crisis financiera, su lectura cobra, si cabe, más sentido. Sobre todo, porque pone de manifiesto que la situación actual posee muchas similitudes con otros episodios sufridos en los últimos siglos. Vista prèvia a Google Books : http://books.google.es/books?id=qaWQWm0BjfoC&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=2 Breve historia de la euforia financiera [text imprès] / John Kenneth Galbraith (1908-2006), Autor . - 1a ed. en esta presentación . - Barcelona : Ariel, 2011 . - 152 p. : il. ; 23 cm.
ISBN : 978-84-344-6952-5
Tít. orig.: A short history of financial euphoria
Idioma : Castellà (spa) Idioma original : Anglès (eng)
Matèries : Especulacions mercantils Classificació : 016 Crisis econòmiques i financeres Resum : En apenas 140 páginas, Galbraith pasa revista a las crisis más relevantes de la historia desde la tulipamanía del siglo XVII hasta el crash de 1987 y subraya las características que comparten con el propósito de extraer lecciones válidas para el futuro. Ahora, en plena crisis financiera, su lectura cobra, si cabe, más sentido. Sobre todo, porque pone de manifiesto que la situación actual posee muchas similitudes con otros episodios sufridos en los últimos siglos. Vista prèvia a Google Books : http://books.google.es/books?id=qaWQWm0BjfoC&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=2 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10113039 016 Gal Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible The Clash of the cultures / John C. Bogle (cop. 2012)
Títol : The Clash of the cultures : investment vs. speculation Tipus de document : text imprès Autors : John C. Bogle, Autor Editorial : Hoboken : John Wiley & Sons Data de publicació : cop. 2012 Nombre de pàgines : xxv, 353 p. ll. : il. Dimensions : 24 cm ISBN/ISSN/DL : 978-1-11-812277-8 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Especulacions mercantils
Inversions
PlusvàluesClassificació : 7 Inversions i gestió de carteres Resum : Over the course of his sixty-year career in the mutual fund industry, Vanguard Group founder John C. Bogle has witnessed a massive shift in the culture of the financial sector. The prudent, value-adding culture of long-term investment has been crowded out by an aggressive, value-destroying culture of short-term speculation. Mr. Bogle has not been merely an eye-witness to these changes, but one of the financial sector’s most active participants. In The Clash of the Cultures, he urges a return to the common sense principles of long-term investing.
Provocative and refreshingly candid, this book discusses Mr. Bogle's views on the changing culture in the mutual fund industry, how speculation has invaded our national retirement system, the failure of our institutional money managers to effectively participate in corporate governance, and the need for a federal standard of fiduciary duty.
Mr. Bogle recounts the history of the index mutual fund, how he created it, and how exchange-traded index funds have altered its original concept of long-term investing. He also presents a first-hand history of Wellington Fund, a real-world case study on the success of investment and the failure of speculation. The book concludes with ten simple rules that will help investors meet their financial goals. Here, he presents a common sense strategy that "may not be the best strategy ever devised. But the number of strategies that are worse is infinite."Vista prèvia a Google Books : http://books.google.es/books?id=9WmHM2y8AEEC&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=3 The Clash of the cultures : investment vs. speculation [text imprès] / John C. Bogle, Autor . - Hoboken : John Wiley & Sons, cop. 2012 . - xxv, 353 p. : il. ; 24 cm.
ISBN : 978-1-11-812277-8
Inclou índex
Idioma : Anglès (eng)
Matèries : Especulacions mercantils
Inversions
PlusvàluesClassificació : 7 Inversions i gestió de carteres Resum : Over the course of his sixty-year career in the mutual fund industry, Vanguard Group founder John C. Bogle has witnessed a massive shift in the culture of the financial sector. The prudent, value-adding culture of long-term investment has been crowded out by an aggressive, value-destroying culture of short-term speculation. Mr. Bogle has not been merely an eye-witness to these changes, but one of the financial sector’s most active participants. In The Clash of the Cultures, he urges a return to the common sense principles of long-term investing.
Provocative and refreshingly candid, this book discusses Mr. Bogle's views on the changing culture in the mutual fund industry, how speculation has invaded our national retirement system, the failure of our institutional money managers to effectively participate in corporate governance, and the need for a federal standard of fiduciary duty.
Mr. Bogle recounts the history of the index mutual fund, how he created it, and how exchange-traded index funds have altered its original concept of long-term investing. He also presents a first-hand history of Wellington Fund, a real-world case study on the success of investment and the failure of speculation. The book concludes with ten simple rules that will help investors meet their financial goals. Here, he presents a common sense strategy that "may not be the best strategy ever devised. But the number of strategies that are worse is infinite."Vista prèvia a Google Books : http://books.google.es/books?id=9WmHM2y8AEEC&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=3 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10114131 7 Bog Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Commodity risk management / Geoffrey Poitras (2013)
Títol : Commodity risk management : theory and application Tipus de document : text imprès Autors : Geoffrey Poitras (1954-), Autor Editorial : New York : Routledge Data de publicació : 2013 Nombre de pàgines : xviii, 406 p. ll. : il., gràf. Dimensions : 26 cm ISBN/ISSN/DL : 978-0-415-87929-3 Nota general : Inclou índex i bibliografia Idioma : Anglès (eng) Matèries : Especulacions mercantils
Gestió del risc
Matèries primeresClassificació : 601.9 Risc Resum : Commodity Risk Management goes beyond just an introductory treatment of derivative securities, dealing with more advanced topics and approaching the subject matter from a unique perspective. At its core lies the concept that commodity risk management decisions require an in-depth understanding of speculative strategies, and vice versa. The book offers readers a unified treatment of important concepts and techniques that are useful in applying derivative securities in the management of risk in commodity markets. While some of these techniques are well known and fairly common, Poitras offers applications to specific situations and links to speculative trading strategies - extensions of the material that not only are hard to come by, but helpful to both the academic and the practitioner.
The book is divided into three parts. The first part deals with the general framework for commodity risk management, the second part focuses on the use of derivative security contracts in commodity risk management, and the third part deals with applications to three specific situations.
As a textbook, this book is designed to appeal to classes at a senior undergraduate/MBA/MA levelof training in Finance, financial economics, actuarial science, management science, agriculturaleconomics and accounting. There will also be interest for the book as: a monograph for research libraries, a handbook for individuals working in the commodity risk management industry, and a guidebook for those in the general public interested in topics like farm risk management or the assessment of hedging practices of publicly-traded commodity producers.Vista prèvia a Google Books : https://books.google.es/books?id=oqRjVLacgp0C&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=3 Commodity risk management : theory and application [text imprès] / Geoffrey Poitras (1954-), Autor . - New York : Routledge, 2013 . - xviii, 406 p. : il., gràf. ; 26 cm.
ISBN : 978-0-415-87929-3
Inclou índex i bibliografia
Idioma : Anglès (eng)
Matèries : Especulacions mercantils
Gestió del risc
Matèries primeresClassificació : 601.9 Risc Resum : Commodity Risk Management goes beyond just an introductory treatment of derivative securities, dealing with more advanced topics and approaching the subject matter from a unique perspective. At its core lies the concept that commodity risk management decisions require an in-depth understanding of speculative strategies, and vice versa. The book offers readers a unified treatment of important concepts and techniques that are useful in applying derivative securities in the management of risk in commodity markets. While some of these techniques are well known and fairly common, Poitras offers applications to specific situations and links to speculative trading strategies - extensions of the material that not only are hard to come by, but helpful to both the academic and the practitioner.
The book is divided into three parts. The first part deals with the general framework for commodity risk management, the second part focuses on the use of derivative security contracts in commodity risk management, and the third part deals with applications to three specific situations.
As a textbook, this book is designed to appeal to classes at a senior undergraduate/MBA/MA levelof training in Finance, financial economics, actuarial science, management science, agriculturaleconomics and accounting. There will also be interest for the book as: a monograph for research libraries, a handbook for individuals working in the commodity risk management industry, and a guidebook for those in the general public interested in topics like farm risk management or the assessment of hedging practices of publicly-traded commodity producers.Vista prèvia a Google Books : https://books.google.es/books?id=oqRjVLacgp0C&lpg=PP1&hl=es&pg=PP1#v=onepage&q&f=false Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=3 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10114868 601.9 Poi Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Currency strategy / Callum Henderson (2002)PermalinkDinero loco / Susan Strange (cop. 1999)PermalinkThe Forex trading course / Abe Cofnas (cop. 2008)PermalinkIntroducción a los derivados / Reuters (2001)PermalinkInvertir en oro / Jeffrey A. Nichols (cop. 1993)PermalinkInvestment / Robert C. Radcliffe (1990)PermalinkMarket neutral strategies (cop. 2005)PermalinkThe Only three questions that count / Kenneth L. Fisher (cop. 2007)PermalinkSecurity analysis / Benjamin Graham ([2003])PermalinkSistemas de especulación en bolsa / José Luis Cava (2003)Permalink
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