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Los Cuatro pilares de la inversión / William J. Bernstein (2016)
Títol : Los Cuatro pilares de la inversión : fundamentos para construir una cartera ganadora Altre títol : The Four pillars of investing Tipus de document : text imprès Autors : William J. Bernstein Editorial : Barcelona : Deusto Data de publicació : 2016 Nombre de pàgines : 417 p. ll. : gràf. Dimensions : 23 cm ISBN/ISSN/DL : 978-84-234-2575-4 Nota general : Inclou bibliografia i índex alfabètic Idioma : Castellà (spa) Idioma original : Anglès (eng) Matèries : Borsa de valors
Gestió de carteraClassificació : 7 Inversions i gestió de carteres Resum : Invertir no es azar, ni es casualidad. Es, más bien, un viaje en el que se va de la mano de brokers, periodistas, especuladores y empresas que seguramente tendrán intereses opuestos a los suyos. Los cuatro pilares de la inversión demuestra cómo ignorar esos y otros obstáculos, cómo seguir en la línea correcta, y determinar su dirección financiera con intención de generar riqueza para usted y su familia. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=3 Los Cuatro pilares de la inversión = The Four pillars of investing : fundamentos para construir una cartera ganadora [text imprès] / William J. Bernstein . - Barcelona : Deusto, 2016 . - 417 p. : gràf. ; 23 cm.
ISBN : 978-84-234-2575-4
Inclou bibliografia i índex alfabètic
Idioma : Castellà (spa) Idioma original : Anglès (eng)
Matèries : Borsa de valors
Gestió de carteraClassificació : 7 Inversions i gestió de carteres Resum : Invertir no es azar, ni es casualidad. Es, más bien, un viaje en el que se va de la mano de brokers, periodistas, especuladores y empresas que seguramente tendrán intereses opuestos a los suyos. Los cuatro pilares de la inversión demuestra cómo ignorar esos y otros obstáculos, cómo seguir en la línea correcta, y determinar su dirección financiera con intención de generar riqueza para usted y su familia. 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 10115081 7 BER Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible The defensive value investor / Kingham, John (2016)
Títol : The defensive value investor : a complete step-by-step guide to building a high-yield, low-risk share portfolio Tipus de document : text imprès Autors : Kingham, John, Autor Editorial : Petersfield [Great Britain] : Harriman House Ltd Data de publicació : 2016 Nombre de pàgines : 288 p. Dimensions : 21 cm ISBN/ISSN/DL : 978-0-85719-398-8 Nota general : Conté apèndix Idioma : Anglès (eng) Matèries : Gestió de cartera Classificació : 7 Inversions i gestió de carteres Resum : The Defensive Value Investor presents a simple and comprehensive strategy for building and managing a share portfolio. Defensive investing focuses on strong, steady companies that produce decent rates of income and capital growth, but with risk often coming from a lofty share price. Value investing on the other hand is focused on buying companies on the cheap, but the danger is that these companies are cheap for a reason. Defensive Value combines the two and involves buying relatively defensive companies at value for money prices. John Kingham explains how to screen for shares with the best combination of quality, value, income and growth, how to conduct a thorough qualitative analysis, when to buy, when to sell, and how to combine your investments into an easily manageable portfolio to reduce risk and increase returns. He also illustrates the method throughout with the help of real-life examples. Each step of the process has a simple "rule of thumb" to make it easy to remember what you should do. When these rules are put together they provide a checklist of straightforward, actionable statements for the Defensive Value Investor to follow. You may choose to adopt the full Defensive Value approach, or you may prefer to incorporate some of the techniques into your own share analysis. Either way, this comprehensive book is an essential addition to the library of every investor. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=3 The defensive value investor : a complete step-by-step guide to building a high-yield, low-risk share portfolio [text imprès] / Kingham, John, Autor . - Petersfield (Great Britain) : Harriman House Ltd, 2016 . - 288 p. ; 21 cm.
ISBN : 978-0-85719-398-8
Conté apèndix
Idioma : Anglès (eng)
Matèries : Gestió de cartera Classificació : 7 Inversions i gestió de carteres Resum : The Defensive Value Investor presents a simple and comprehensive strategy for building and managing a share portfolio. Defensive investing focuses on strong, steady companies that produce decent rates of income and capital growth, but with risk often coming from a lofty share price. Value investing on the other hand is focused on buying companies on the cheap, but the danger is that these companies are cheap for a reason. Defensive Value combines the two and involves buying relatively defensive companies at value for money prices. John Kingham explains how to screen for shares with the best combination of quality, value, income and growth, how to conduct a thorough qualitative analysis, when to buy, when to sell, and how to combine your investments into an easily manageable portfolio to reduce risk and increase returns. He also illustrates the method throughout with the help of real-life examples. Each step of the process has a simple "rule of thumb" to make it easy to remember what you should do. When these rules are put together they provide a checklist of straightforward, actionable statements for the Defensive Value Investor to follow. You may choose to adopt the full Defensive Value approach, or you may prefer to incorporate some of the techniques into your own share analysis. Either way, this comprehensive book is an essential addition to the library of every investor. 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 10115179 7 KIN Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Dynamic asset allocation / David A. Hammer (cop. 1991)
Títol : Dynamic asset allocation : strategies for the stock, bond, and money markets Tipus de document : text imprès Autors : David A. Hammer, Autor Editorial : New York : John Wiley & Sons Data de publicació : cop. 1991 Col·lecció : Wiley finance editions Nombre de pàgines : xvi, 336 p. ll. : il., gràf. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-471-53028-2 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Anàlisi financera
Gestió de carteraParaules clau : Asset allocation Classificació : 75(POR) Gestió de carteres Resum : Includes an examination of traditional asset allocation methods, why they do and do not work, and which elements can be used in overseeing the professional's own portfolio. In addition, the author introduces his own proven method of portfolio management and asset allocation strategies--the 7-Step System''--using simple statistical techniques to forecast stock, bond, commodity, and money market returns. Free of complex mathematics, charts, graphs, and technical jargon, this is a highly readable guide to getting the most from today's sophisticated investment techniques. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Dynamic asset allocation : strategies for the stock, bond, and money markets [text imprès] / David A. Hammer, Autor . - New York : John Wiley & Sons, cop. 1991 . - xvi, 336 p. : il., gràf. ; 24 cm. - (Wiley finance editions) .
ISBN : 978-0-471-53028-2
Inclou índex
Idioma : Anglès (eng)
Matèries : Anàlisi financera
Gestió de carteraParaules clau : Asset allocation Classificació : 75(POR) Gestió de carteres Resum : Includes an examination of traditional asset allocation methods, why they do and do not work, and which elements can be used in overseeing the professional's own portfolio. In addition, the author introduces his own proven method of portfolio management and asset allocation strategies--the 7-Step System''--using simple statistical techniques to forecast stock, bond, commodity, and money market returns. Free of complex mathematics, charts, graphs, and technical jargon, this is a highly readable guide to getting the most from today's sophisticated investment techniques. 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 10112594 75(POR) Ham Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Financial market analysis / David Blake (cop. 2000)
Títol : Financial market analysis Tipus de document : text imprès Autors : David Blake, Autor Menció d'edició : 2nd ed. Editorial : Chichester : John Wiley & Sons Data de publicació : cop. 2000 Nombre de pàgines : xxv, 721 p. ll. : il., gràf. Dimensions : 25 cm ISBN/ISSN/DL : 978-0-471-87728-8 Nota general : Inclou índex i bibliografia Idioma : Anglès (eng) Matèries : Anàlisi financera
Entitats financeres
Gestió de cartera
ValorsClassificació : 701.1 Anàlisi tècnica. Anàlisi fonamental Resum : The eagerly awaited second edition of this highly successful book has been greatly expanded from 400 to over 700 pages and contains new material on value at risk, speculative bubbles, volatility effects in financial markets, chaos and neural networks.
Financial Market Analysis deals with the composition of financial markets and the analysis and valuation of traded securities. It describes the use of securities both in constructing and managing portfolios and in contributing to portfolio performance. Particular attention is paid to new types of investment product, different portfolio management strategies, speculation, arbitrage and risk management strategies and to financial market failure.
Financial Market Analysis is an essential text for all finance-related degree courses at undergraduate, postgraduate, and MBA level. It also provides a useful source of reference for financial institutions and professionals in the financial markets.Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Financial market analysis [text imprès] / David Blake, Autor . - 2nd ed. . - Chichester : John Wiley & Sons, cop. 2000 . - xxv, 721 p. : il., gràf. ; 25 cm.
ISBN : 978-0-471-87728-8
Inclou índex i bibliografia
Idioma : Anglès (eng)
Matèries : Anàlisi financera
Entitats financeres
Gestió de cartera
ValorsClassificació : 701.1 Anàlisi tècnica. Anàlisi fonamental Resum : The eagerly awaited second edition of this highly successful book has been greatly expanded from 400 to over 700 pages and contains new material on value at risk, speculative bubbles, volatility effects in financial markets, chaos and neural networks.
Financial Market Analysis deals with the composition of financial markets and the analysis and valuation of traded securities. It describes the use of securities both in constructing and managing portfolios and in contributing to portfolio performance. Particular attention is paid to new types of investment product, different portfolio management strategies, speculation, arbitrage and risk management strategies and to financial market failure.
Financial Market Analysis is an essential text for all finance-related degree courses at undergraduate, postgraduate, and MBA level. It also provides a useful source of reference for financial institutions and professionals in the financial markets.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 10112673 701.1 Bla Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
DisponibleDonació: Ramon Alfonso Fundamental analysis for dummies / Matthew Krantz (2016)
Títol : Fundamental analysis for dummies Tipus de document : text imprès Autors : Matthew Krantz Menció d'edició : 2nd e edition. Editorial : Hoboken : John Wiley & Sons Data de publicació : 2016 Nombre de pàgines : 380 p. ll. : il. Dimensions : 23 cm. ISBN/ISSN/DL : 978-1-11-926359-3 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Gestió de cartera Classificació : 75(POR) Gestió de carteres Resum : Determine the strength of any business with fundamental analysis Have you ever wondered the key to multibillionaire Warren Buffet's five-decade run as the most successful investor in history? The answer is simple: fundamental analysis. In this easy-to-understand, practical, and savvy guide, you'll discover how it helps you assess a business' overall financial performance by using historical and present data to forecast its future monetary value and why this powerful tool is particularly important to investors in times of economic downturn. It's more important than ever for investors to know the true financial stability of a business, and this new edition of Fundamental Analysis For Dummies shows you how. Whether you're a seasoned investor or just want to learn how to make more intelligent and prudent investment decisions, this plain-English guide gives you practical tips, tricks, and trade secrets for using fundamental analysis to manage your portfolio and enhance your understanding of shrewdly selecting stocks! Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=3 Fundamental analysis for dummies [text imprès] / Matthew Krantz . - 2nd e edition. . - Hoboken : John Wiley & Sons, 2016 . - 380 p. : il. ; 23 cm.
ISBN : 978-1-11-926359-3
Inclou índex
Idioma : Anglès (eng)
Matèries : Gestió de cartera Classificació : 75(POR) Gestió de carteres Resum : Determine the strength of any business with fundamental analysis Have you ever wondered the key to multibillionaire Warren Buffet's five-decade run as the most successful investor in history? The answer is simple: fundamental analysis. In this easy-to-understand, practical, and savvy guide, you'll discover how it helps you assess a business' overall financial performance by using historical and present data to forecast its future monetary value and why this powerful tool is particularly important to investors in times of economic downturn. It's more important than ever for investors to know the true financial stability of a business, and this new edition of Fundamental Analysis For Dummies shows you how. Whether you're a seasoned investor or just want to learn how to make more intelligent and prudent investment decisions, this plain-English guide gives you practical tips, tricks, and trade secrets for using fundamental analysis to manage your portfolio and enhance your understanding of shrewdly selecting stocks! 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 10115080 75(POR) KRA Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Futuros y opciones en la gestión de carteras / Eduardo Martínez Abascal (cop. 1993)PermalinkGestión activa de carteras de renta fija / Mario Bajo (2013)PermalinkGestión de carteras / Manuel Rojas Gutiérrez ([2013?])PermalinkGestión de carteras / Manuel Rojas Gutiérrez ([2014?])PermalinkGestión de carteras de acciones internacionales / Prosper Lamothe Fernández (cop. 1999)PermalinkGestión de carteras / Fernando Gómez-Bezares (cop. 1993)PermalinkGestión de carteras de renta fija / Eduardo Martínez Abascal (cop. 2002)PermalinkLa Gestion obligataire / Maurice Debeauvais (DL 1996)PermalinkLa Gestione del risparmio / Riccardo Ferretti (2001)PermalinkGet wise to your advisor / Steven D. Lockshin (cop. 2013)Permalink
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