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Getting started in asset allocation / Bill Bresnan (cop. 1999)
Títol : Getting started in asset allocation Tipus de document : text imprès Autors : Bill Bresnan, Autor ; Eric Gelb, Autor Editorial : New York : John Wiley & Sons Data de publicació : cop. 1999 Col·lecció : The getting started in series Nombre de pàgines : x, 257 p. ll. : il., gràf. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-471-32684-7 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Gestió de cartera Paraules clau : Asset allocation Classificació : 75(POR) Gestió de carteres Resum : Asset allocation is an essential component of creating a solid portfolio. This indispensable guide clarifies the where, when and how to begin of asset allocation in plain English. Covering the basics of starting an asset allocation program, it offers sound advice, helpful tips, and practical guidelines - all corresponding to your particular financial situation, whether you're single, married with children, saving for college, or retired. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Getting started in asset allocation [text imprès] / Bill Bresnan, Autor ; Eric Gelb, Autor . - New York : John Wiley & Sons, cop. 1999 . - x, 257 p. : il., gràf. ; 24 cm. - (The getting started in series) .
ISBN : 978-0-471-32684-7
Inclou índex
Idioma : Anglès (eng)
Matèries : Gestió de cartera Paraules clau : Asset allocation Classificació : 75(POR) Gestió de carteres Resum : Asset allocation is an essential component of creating a solid portfolio. This indispensable guide clarifies the where, when and how to begin of asset allocation in plain English. Covering the basics of starting an asset allocation program, it offers sound advice, helpful tips, and practical guidelines - all corresponding to your particular financial situation, whether you're single, married with children, saving for college, or retired. 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 10112660 75(POR) Bre Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
DisponibleDonació: Ramon Alfonso Global asset allocation (cop. 1994)
Títol : Global asset allocation : techniques for optimizing portfolio management Tipus de document : text imprès Autors : Jess Lederman, Editor ; Robert A. Klein, Editor Editorial : New York : John Wiley & Sons Data de publicació : cop. 1994 Col·lecció : Wiley finance editions Nombre de pàgines : xxi, 378 p. ll. : il., gràf. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-471-59373-7 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Gestió de cartera
Inversions estrangeresParaules clau : Asset allocation Classificació : 913 Inversió internacional Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Global asset allocation : techniques for optimizing portfolio management [text imprès] / Jess Lederman, Editor ; Robert A. Klein, Editor . - New York : John Wiley & Sons, cop. 1994 . - xxi, 378 p. : il., gràf. ; 24 cm. - (Wiley finance editions) .
ISBN : 978-0-471-59373-7
Inclou índex
Idioma : Anglès (eng)
Matèries : Gestió de cartera
Inversions estrangeresParaules clau : Asset allocation Classificació : 913 Inversió internacional 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 10112672 913 Glo Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Global investing / Roger G. Ibbotson (cop. 1993)
Títol : Global investing : the professional's guide to the world capital markets Tipus de document : text imprès Autors : Roger G. Ibbotson, Autor ; Gary P. Brinson, Autor Editorial : New York : McGraw-Hill Data de publicació : cop. 1993 Nombre de pàgines : xii, 339 p. ll. : il., gràf. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-07-031683-6 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Gestió de cartera
Inversions estrangeresClassificació : 913 Inversió internacional Resum : Savvy investors know that an investment portfolio's most exciting and lucrative opportunities are to be found globally and extend outside the borders of the United States. To exploit the globally important markets requires access to the sophisticated information on world capital markets that top investment professionals use. Global Investing, written by two of America's most knowledgeable and experienced investment professionals, provides a comprehensive, up-to-the-minute resource that's based on award-winning research. Global Investing provides institutional facts and tracks performance data for stock markets in more than 40 countries. Beyond that, it provides both worldwide return performance on all major asset classes - data unlikely to be found in any other single resource. In addition, Ibbotson and Brinson analyze the relationship of these returns to risk, marketability, taxation, and information costs. With Global Investing you'll learn how to improve your investment decision making by having timely information on population, production, inflation, wealth measures, and capital market structure in both developed and emerging economies; using empirically tested investment analysis to build and maintain a diversified portfolio using tools that gain insights from historical performance data; knowing how to look for the best opportunities in stocks, bonds, real estate, gold, silver, art, commodities, and venture capital; applying techniques and strategies of asset allocation across countries and economic sectors; and having a resource that provides an in-depth analysis of currencies, exchange rates, asset pricing ... and much more! Global investing's dozens of charts and graphs makeboth current market data and that of past decades unusually clear and accessible. The result is a book that provides all the tools you'll need to benefit from the international investment opportunities of the '90s and beyond. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 Global investing : the professional's guide to the world capital markets [text imprès] / Roger G. Ibbotson, Autor ; Gary P. Brinson, Autor . - New York : McGraw-Hill, cop. 1993 . - xii, 339 p. : il., gràf. ; 24 cm.
ISBN : 978-0-07-031683-6
Inclou índex
Idioma : Anglès (eng)
Matèries : Gestió de cartera
Inversions estrangeresClassificació : 913 Inversió internacional Resum : Savvy investors know that an investment portfolio's most exciting and lucrative opportunities are to be found globally and extend outside the borders of the United States. To exploit the globally important markets requires access to the sophisticated information on world capital markets that top investment professionals use. Global Investing, written by two of America's most knowledgeable and experienced investment professionals, provides a comprehensive, up-to-the-minute resource that's based on award-winning research. Global Investing provides institutional facts and tracks performance data for stock markets in more than 40 countries. Beyond that, it provides both worldwide return performance on all major asset classes - data unlikely to be found in any other single resource. In addition, Ibbotson and Brinson analyze the relationship of these returns to risk, marketability, taxation, and information costs. With Global Investing you'll learn how to improve your investment decision making by having timely information on population, production, inflation, wealth measures, and capital market structure in both developed and emerging economies; using empirically tested investment analysis to build and maintain a diversified portfolio using tools that gain insights from historical performance data; knowing how to look for the best opportunities in stocks, bonds, real estate, gold, silver, art, commodities, and venture capital; applying techniques and strategies of asset allocation across countries and economic sectors; and having a resource that provides an in-depth analysis of currencies, exchange rates, asset pricing ... and much more! Global investing's dozens of charts and graphs makeboth current market data and that of past decades unusually clear and accessible. The result is a book that provides all the tools you'll need to benefit from the international investment opportunities of the '90s and beyond. 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 10111747 913 Ibb Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible Global portfolio diversification (cop. 1995)
Títol : Global portfolio diversification : risk management, market microstructure, and implementation issues Tipus de document : text imprès Autors : Raj Aggarwal, Editor ; David C. Schirm, Editor Editorial : San Diego : Academic Press Data de publicació : cop. 1995 Nombre de pàgines : xvi, 302 p. ll. : il., gràf. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-12-044500-4 Nota general : Inclou índex Idioma : Anglès (eng) Matèries : Gestió de cartera
Gestió del risc
Inversions estrangeresClassificació : 913 Inversió internacional Resum : Global Portfolio Diversification synthesizes principal debates between analysts and academics. Covering subjects such as risk management, diversification and hedging strategies, deviations from market efficiency, and exchange rates, the book includes case studies, research, and commentary by the editors. Essayists include two past presidents of the American Finance Association and the current editors of the Journal of Finance and Economic Inquiry, as well as senior market regulators, financial managers, and representatives of international securities exchanges. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=4 Global portfolio diversification : risk management, market microstructure, and implementation issues [text imprès] / Raj Aggarwal, Editor ; David C. Schirm, Editor . - San Diego : Academic Press, cop. 1995 . - xvi, 302 p. : il., gràf. ; 24 cm.
ISBN : 978-0-12-044500-4
Inclou índex
Idioma : Anglès (eng)
Matèries : Gestió de cartera
Gestió del risc
Inversions estrangeresClassificació : 913 Inversió internacional Resum : Global Portfolio Diversification synthesizes principal debates between analysts and academics. Covering subjects such as risk management, diversification and hedging strategies, deviations from market efficiency, and exchange rates, the book includes case studies, research, and commentary by the editors. Essayists include two past presidents of the American Finance Association and the current editors of the Journal of Finance and Economic Inquiry, as well as senior market regulators, financial managers, and representatives of international securities exchanges. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=4 Exemplars
Codi de barres Signatura topogràfica Tipus de document Localització Secció Estat Volum Nota 10110031 913 Glo Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
Disponible High yield bonds (cop. 1999)
Títol : High yield bonds : market structure, portfolio management, and credit risk modeling Tipus de document : text imprès Autors : Theodore M. Barnhill, Editor ; William F. Maxwell, Editor ; Mark R. Shenkman, Editor Editorial : New York : McGraw-Hill Data de publicació : cop. 1999 Col·lecció : Irwin library of investment & finance Nombre de pàgines : xxxii, 574 p. ll. : il. Dimensions : 24 cm ISBN/ISSN/DL : 978-0-07-006786-8 Nota general : Inclou índex i bibliografia Idioma : Anglès (eng) Matèries : Bons porqueria
Crèdit
Gestió de carteraClassificació : 57 Renda fixa Resum : The availability of newer forms of high-yield bonds, along with dramatic growth in international issues and leveraged loans, marks a growing maturity in the high-yield bond market. But mistakes can be costly, and busy institutional investers and corporate finance officers can still find it challenging to locate the most favorable investment opportunities. High-Yield Bonds thoroughly explores every angle of this complex market, delivering statistics, research findings, and empirical facts guaranteed to help you understand the risks and rewards of high-yield investing. More than just a theoretical treatise on lower-grade bonds, this hands-on reference shows you how to uncover issues that provide exceptional returns for acceptable risk. Examples of the discussions include: a 77-year study of corporate bond defaults that reveals patterns and correlations--helping you intuitively judge a bond's risks; credit analylsis methodologies to help you determine an issuer's weaknesses and better evaluate the 12- to 24-month prospects; simulation methodologies to identify optimally diversified portfolios. As U.S. and international institutional investors seek higher yields, and emerging companies seek new sources of capital to finance growth, the high-yield bond market will continue to grow in strength and importance. Let High-Yield Bonds act as your on-call investment advisor in navigating this risky-yet profitable-market. Permalink : https://bibliotecatriasfargas.cat/pmb/opac_css/index.php?lvl=notice_display&id=1 High yield bonds : market structure, portfolio management, and credit risk modeling [text imprès] / Theodore M. Barnhill, Editor ; William F. Maxwell, Editor ; Mark R. Shenkman, Editor . - New York : McGraw-Hill, cop. 1999 . - xxxii, 574 p. : il. ; 24 cm. - (Irwin library of investment & finance) .
ISBN : 978-0-07-006786-8
Inclou índex i bibliografia
Idioma : Anglès (eng)
Matèries : Bons porqueria
Crèdit
Gestió de carteraClassificació : 57 Renda fixa Resum : The availability of newer forms of high-yield bonds, along with dramatic growth in international issues and leveraged loans, marks a growing maturity in the high-yield bond market. But mistakes can be costly, and busy institutional investers and corporate finance officers can still find it challenging to locate the most favorable investment opportunities. High-Yield Bonds thoroughly explores every angle of this complex market, delivering statistics, research findings, and empirical facts guaranteed to help you understand the risks and rewards of high-yield investing. More than just a theoretical treatise on lower-grade bonds, this hands-on reference shows you how to uncover issues that provide exceptional returns for acceptable risk. Examples of the discussions include: a 77-year study of corporate bond defaults that reveals patterns and correlations--helping you intuitively judge a bond's risks; credit analylsis methodologies to help you determine an issuer's weaknesses and better evaluate the 12- to 24-month prospects; simulation methodologies to identify optimally diversified portfolios. As U.S. and international institutional investors seek higher yields, and emerging companies seek new sources of capital to finance growth, the high-yield bond market will continue to grow in strength and importance. Let High-Yield Bonds act as your on-call investment advisor in navigating this risky-yet profitable-market. 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 10112655 57 Hig Llibre Biblioteca IEF Ramon Trias Fargas Biblioteca Disponible
DisponibleDonació: Ramon Alfonso How to be a sector investor / Larry Hungerford (cop. 2000)PermalinkInside the investments of Warren Buffett / Yefei Lu (2016)PermalinkIntermarket technical analysis / John J. Murphy (cop. 1991)PermalinkInversiones financieras / Juan García Boza (cop. 2013)PermalinkInvest in the best / Ashworth-Lord, Keith (2016)PermalinkInvestment analysis and portfolio management / Frank K. Reilly (cop. 1997)PermalinkJ-curve exposure / Pierre-Yves Mathonet (cop. 2007)PermalinkLeones contra gacelas / José Luis Cárpatos (cop. 2012)PermalinkThe Little book that saves your assets / David M. Darst (cop. 2008)PermalinkManaging investment portfolios (2007)Permalink
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