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Book Gestion de portefeuille et march  s financiers

Download or read book Gestion de portefeuille et march s financiers written by Pascal Alphonse and published by Pearson Education France. This book was released on 2013-07-05 with total page 650 pages. Available in PDF, EPUB and Kindle. Book excerpt: L'ensemble des principes et des concepts fondamentaux de l'évaluation des actifs financiers et de la gestion de portefeuille. Ce livre rigoureux et pédagogique aborde les trois types de titres financiers en un seul volume en alternant théorie et pratique.

Book Portfolio Theory and Performance Analysis

Download or read book Portfolio Theory and Performance Analysis written by Noel Amenc and published by John Wiley & Sons. This book was released on 2003-10-10 with total page 292 pages. Available in PDF, EPUB and Kindle. Book excerpt: For many years asset management was considered to be a marginal activity, but today, it is central to the development of financial industry throughout the world. Asset management's transition from an "art and craft" to an industry has inevitably called integrated business models into question, favouring specialisation strategies based on cost optimisation and learning curve objectives. This book connects each of these major categories of techniques and practices to the unifying and seminal conceptual developments of modern portfolio theory. In these bear market times, performance evaluation of portfolio managers is of central focus. This book will be one of very few on the market and is by a respected member of the profession. Allows the professionals, whether managers or investors, to take a step back and clearly separate true innovations from mere improvements to well-known, existing techniques Puts into context the importance of innovations with regard to the fundamental portfolio management questions, which are the evolution of the investment management process, risk analysis and performance measurement Takes the explicit or implicit assumptions contained in the promoted tools into account and, by so doing, evaluate the inherent interpretative or practical limits

Book La gestion de portefeuille

Download or read book La gestion de portefeuille written by Roland Gillet and published by De Boeck Superieur. This book was released on 2019-09-16 with total page 580 pages. Available in PDF, EPUB and Kindle. Book excerpt: Cet ouvrage complet et pédagogique se positionne comme une référence en matière d'analyse de la stratégie de gestion de portefeuille et de l'examen de la performance de cette gestion. Il est destiné aussi bien aux étudiants qu'aux professionnels. Cet ouvrage complet et pédagogique, destiné aussi bien aux étudiants de Licence (Bac) et Maîtrise en Sciences économiques et de gestion qu'aux professionnels de la gestion de portefeuille et de l'asset management, se positionne comme une référence en matière d'analyse de la stratégie de gestion de portefeuille et de l'examen de la performance de cette gestion. Un soin particulier a été apporté dans la clarté et la mise en perspective critique de l'exposition des bases de la théorie moderne de portefeuille et de l'efficience des marchés, en précisant l'état de la science et de l'art en la matière. Ensuite, l'ouvrage passe en revue les classes d'instruments financiers susceptibles d'intégrer un portefeuille de valeurs mobilières, à savoir les actions, les titres à revenus fixes, les produits dérivés et les actifs alternatifs, avec leurs principes de valorisation et leurs propriétés dans le cadre de la gestion d'actifs. Les stratégies de gestion de portefeuille par classes homogènes ou dans une optique d'allocation d'actifs font l'objet d'un examen minutieux. Cette analyse est complétée par une partie importante consacrée à l'évaluation de la performance de portefeuille, permettant d'établir un lien concret entre la mise en oeuvre des principes de gestion et le contrôle de leur qualité. Les innovations récentes en matière de stratégie et d'évaluation de la performance de portefeuille sont décrites avec objectivité et sans complaisance, mettant en exergue leurs avantages et faiblesses potentiels.

Book Gestion de portefeuille

Download or read book Gestion de portefeuille written by Rémy Estran and published by Dunod. This book was released on 2017-08-30 with total page 232 pages. Available in PDF, EPUB and Kindle. Book excerpt: Tout investisseur cherche à maximiser le rendement de son portefeuille d'actifs et à minimiser les risques encourus. La gestion de portefeuille fournit plusieurs modèles d'évaluation et des techniques pour sélectionner les placements et diversifier les risques. Ce manuel fait le lien entre la théorie et la pratique de la gestion de portefeuille. Il présente les modèles traditionnels et les modèles plus modernes, en adoptant une approche vivante et concrète permettant aux étudiants d'être opérationnels. A l'aide d'applications et d'exercices d'entraînement fondés sur des données réelles, ils apprendront à chercher l'information et à effectuer des choix comme les praticiens.

Book

    Book Details:
  • Author :
  • Publisher : Odile Jacob
  • Release :
  • ISBN : 2738177948
  • Pages : 287 pages

Download or read book written by and published by Odile Jacob. This book was released on with total page 287 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book Bilingual Dictionary of Terms

Download or read book Bilingual Dictionary of Terms written by François Elandi and published by Xlibris Corporation. This book was released on 2019-02-14 with total page 627 pages. Available in PDF, EPUB and Kindle. Book excerpt: Bilingual Dictionary of Terms Banks. Finances. Money. Financial Markets / Banques. Finances. Monnaie. Marchés Financiers METODES Editions Collection Culture & Savoir (C&S) François Elandi This bilingual work, fruit of a team of specialists and professionals, deals with banking, finance, and stock market practices with —— more than 25,000 words and terms used in French and in British and North American English of today; —— convenient examples to better assimilate the terms used, contributing to make the work the most precise reference in its specialty; and —— a cross-reference system to more precise definitions and complementary expressions to other words and terms inside the development of a word or an expression. It is intended for ——high school pupils and students of higher education, ——professional users, and ——the general public. In order for them to ——acquire and develop their professional lexicological heritage; ——master the exact terminology in the practice linked to their activity or profession; ——perfect their knowledge in banking, finance, and stock exchange practice; and ——better communicate efficiently. Cet ouvrage bilingue, fruit d’une équipe de spécialistes et de professionnels, traite des pratiques bancaires, financières et boursières, avec : ——Plus de 25000 mots et termes utilisés en français et en anglais britannique et nordaméricain ; ——Des exemples pratiques pour mieux assimiler l’emploi de ces termes, contribuant à faire de l’ouvrage la référence la plus précise dans sa spécialité ; ——Un système de renvois à des définitions et explications complémentaires et plus précises à d’autres mots et termes au sein du développement d’un mot ou d’une expression. Il est destiné : ——A l’élève des lycées et collèges ou à l’étudiant de l’enseignement supérieur ; ——A l’utilisateur professionnel ; ——Au grand public. Pour : ——Acquérir et développer son patrimoine lexicologique professionnel ; ——Maîtriser la terminologie exacte dans la pratique liée à son activité ou à sa profession ; ——Perfectionner ses connaissances dans la pratique bancaire, financière et boursière ; ——Mieux communiquer efficacement.

Book Gestion de portefeuille   2e   d

Download or read book Gestion de portefeuille 2e d written by Rémy Estran and published by Dunod. This book was released on 2021-09-08 with total page 252 pages. Available in PDF, EPUB and Kindle. Book excerpt: Que recouvre le métier de la gestion de portefeuille ? Comment construire un portefeuille et l’évaluer ? Quel est le rôle de la diversification ? Quelles stratégies adopter pour permettre à un portefeuille de « surperformer » ? Comment sélectionner les actifs composant un portefeuille ?Cet ouvrage aborde les concepts clés de la gestion de portefeuille : rôle du système financier, détermination du prix des actifs, diversification, pratique du stock picking et du market timing, etc. Alliant théorie et pratique, ce manuel met l’accent sur l’acquisition des méthodes et des compétences indispensables à tout futur gérant de portefeuille ou analyste. Il propose : • la présentation des principes fondamentaux de façon simple et progressive ; • un cours visuel et illustré par des exemples pour acquérir les connaissances essentielles en gestion de portefeuille ; • des conseils méthodologiques et des éclairages professionnels pour traduire la théorie en pratique ; • des exercices et leurs corrigés pour s’évaluer et s’entraîner.

Book Advances in Human Factors  Business Management and Leadership

Download or read book Advances in Human Factors Business Management and Leadership written by Jussi Ilari Kantola and published by Springer Nature. This book was released on 2020-06-30 with total page 654 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book analyzes new theories and practical approaches for promoting excellence in human resource management and leadership. It shows how the principles of creating shared value can be applied to ensure faster learning, training, business development and social renewal. In particular, it presents novel methods and tools for tackling the complexity of management and learning in both business organizations and society. Discussing ontologies, intelligent management systems, and methods for creating knowledge and value added, it offers novel insights into time management and operations optimization, as well as advanced methods for evaluating customers’ satisfaction and conscious experience. Based on two AHFE 2020 Virtual Conferences: the AHFE 2020 Conference on Human Factors, Business Management and Society and the AHFE 2020 Conference on Human Factors in Management and Leadership, held on July 16–20, 2020, the book provides researchers and professionals with extensive information, practical tools and inspiring ideas for achieving excellence in a broad spectrum of business and societal activities.

Book Rethinking Finance in the Face of New Challenges

Download or read book Rethinking Finance in the Face of New Challenges written by David Bourghelle and published by Emerald Group Publishing. This book was released on 2021-10-25 with total page 313 pages. Available in PDF, EPUB and Kindle. Book excerpt: Rethinking Finance in the Face of New Challenges provides an overview of the new research perspectives devoted to financial activity, reconsidering the opposition between orthodox and heterodox schools of finance.

Book Markets and Organization

Download or read book Markets and Organization written by Richard Arena and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 686 pages. Available in PDF, EPUB and Kindle. Book excerpt: Market economy has become today the predominant economic system in the world. One of the tasks of the book is to define analytically the essential features of a market economy. The other purpose is to investigate the very working of a market economy which rests on firms defined as organizations and markets seen as institutions. It also supposes a renewed conception of cooperation and competition. The book will permit the reader to acquire a fresh view on market economies, stressing simultaneously their unity and diversity. It will also interest specialists of microeconomics as well as industrial organization, economics of technology and institutional economcis.

Book Risk Pioneer

Download or read book Risk Pioneer written by Fouad Sabry and published by One Billion Knowledgeable. This book was released on 2024-04-20 with total page 259 pages. Available in PDF, EPUB and Kindle. Book excerpt: Who is Risk Pioneer William Forsyth Sharpe is an American economist. He is the STANCO 25 Professor of Finance, Emeritus at Stanford University's Graduate School of Business, and the winner of the 1990 Nobel Memorial Prize in Economic Sciences. How you will benefit (I) Insights about the following: Chapter 1: William F. Sharpe Chapter 2: Finance Chapter 3: Financial economics Chapter 4: Capital asset pricing model Chapter 5: Harry Markowitz Chapter 6: Modern portfolio theory Chapter 7: Portfolio (finance) Chapter 8: Armen Alchian Chapter 9: David Dodd Chapter 10: Investment management Chapter 11: Roger G. Ibbotson Chapter 12: Asset pricing Chapter 13: Moses Abramovitz Chapter 14: Post-modern portfolio theory Chapter 15: Jack L. Treynor Chapter 16: Portfolio manager Chapter 17: Eduardo Schwartz Chapter 18: Portfolio optimization Chapter 19: Downside risk Chapter 20: Returns-based style analysis Chapter 21: Bruno Solnik Who this book is for Professionals, undergraduate and graduate students, enthusiasts, hobbyists, and those who want to go beyond basic knowledge or information about Risk Pioneer.

Book The Empire of Value

Download or read book The Empire of Value written by Andre Orlean and published by MIT Press. This book was released on 2023-10-31 with total page 361 pages. Available in PDF, EPUB and Kindle. Book excerpt: An argument that conceiving of economic value as a social force makes it possible to develop a new and more powerful theory of market behavior. With the advent of the 2007–2008 financial crisis, the economics profession itself entered into a crisis of legitimacy from which it has yet to emerge. Despite the obviousness of their failures, however, economists continue to rely on the same methods and to proceed from the same underlying assumptions. André Orléan challenges the neoclassical paradigm in this book, with a new way of thinking about perhaps its most fundamental concept, economic value. Orléan argues that value is not bound up with labor, or utility, or any other property that preexists market exchange. Economic value, he contends, is a social force whose vast sphere of influence, amounting to a kind of empire, extends to every aspect of economic life. Markets are based on the identification of value with money, and exchange value can only be regarded as a social institution. Financial markets, for example, instead of defining an extrinsic, objective value for securities, act as a mechanism for arriving at a reference price that will be accepted by all investors. What economists must therefore study, Orléan urges, is the hold that value has over individuals and how it shapes their perceptions and behavior. Awarded the prestigious Prix Paul Ricoeur on its original publication in France in 2011, The Empire of Value has been substantially revised and enlarged for this edition, with an entirely new section discussing the financial crisis of 2007–2008.

Book Location Strategies and Value Creation of International Mergers and Acquisitions

Download or read book Location Strategies and Value Creation of International Mergers and Acquisitions written by Ludivine Chalençon and published by John Wiley & Sons. This book was released on 2017-03-27 with total page 388 pages. Available in PDF, EPUB and Kindle. Book excerpt: This title enriches both areas of research, finance and international management to analyze the choice of location and value creation in mergers and acquisitions. Our research answers the following question: What are the determinants of the location and value creation in mergers and acquisitions?

Book Financial Securities

Download or read book Financial Securities written by Blaise Allaz Bernard Dumas and published by Springer. This book was released on 2013-12-19 with total page 385 pages. Available in PDF, EPUB and Kindle. Book excerpt: Finance is an area of business practice that has been deeply influenced by theoretical developments. This book provides the basic theoretical foundations necessary to understand how three broad classes of assets - stocks, options and bonds - are valued on financial markets, while developing the crucial concepts of market equilibrium and arbitrage. The analysis is rigorous, yet successfully bridges the gap between mathematical and non-mathematical approaches to provide a book which will be of interest to both academics and practitioners.

Book Making Sense of the Global

Download or read book Making Sense of the Global written by Raúl Acosta and published by Cambridge Scholars Publishing. This book was released on 2020-06-01 with total page 220 pages. Available in PDF, EPUB and Kindle. Book excerpt: Anthropology is more relevant than ever before to making sense of the constant intercultural encounters taking place around the world. Even though the discipline was born out of the need to understand the way humans interact, it had for decades been trapped in a counter-cultural stance that effectively disarmed it of any direct influence on public affairs. Recent global trends, however, have brought this academic discipline to the attention of governments, agencies, and social entrepreneurs, because of its capacity to create bridges of understanding between people of contrasting cultures. This ability is today more necessary than ever before in facing the challenges posed by the shrinking of our world. This volume provides reflections on what anthropological research can offer through its “thick” analyses. We are convinced that ethnographic research can contribute to a better understanding of social phenomena in our global times.

Book Commercial Trusts in European Private Law

Download or read book Commercial Trusts in European Private Law written by Michele Graziadei and published by Cambridge University Press. This book was released on 2005-11-03 with total page 630 pages. Available in PDF, EPUB and Kindle. Book excerpt: In European legal systems, a variety of approaches to trust and relationships of trust meet the universal professionalisation of asset management services. This book explores that interface in order to seek a better understanding of the legal regulation of the entrustment of wealth. Within the methodology of the Common Core of European Private Law, the book sets out cases on the establishment and termination of management relationships, obligations of loyalty and of professionalism, and the choice of law. More specialized cases address collective investment, collective secured lending, pension funds, and securitisation. Reports on these cases from fifteen jurisdictions of the European Union tackle fundamental problems of trust law and show which legal techniques are deployed to solve them across Europe. In addition to a much-needed comparative treatment of the subject, the book discusses the scholarly setting for the issues and gives guidance on the terminology in the evolving European scene.

Book March  s financiers

Download or read book March s financiers written by Bertrand Jacquillat and published by . This book was released on 2004 with total page 367 pages. Available in PDF, EPUB and Kindle. Book excerpt: L'ambition de cet ouvrage, à travers cette quatrième édition entièrement refondue et actualisée, est de présenter les concepts et les techniques modernes d'analyse des marchés financiers, leurs applications à la gestion de portefeuille et plus globalement à la gestion des risques. Le souci de rendre sa compréhension claire, en allégeant la formulation mathématique au profit des concepts et des applications pratiques, en fait un ouvrage d'intérêt à la fois pour les étudiants et les professionnels. À travers douze chapitres, le lecteur pourra se familiariser avec les principaux thèmes suivants : le cadre institutionnel et opérationnel des marchés financiers ; l'efficience des marchés financiers ; le risque, la diversification et la frontière efficiente ; les modèles à facteurs ; les modèles d'équilibre des actifs financiers et le prix du risque, les modèles d'évaluation, les obligations et taux d'intérêt, les instruments de gestion des risques financiers ; les contrats à terme ; les options ; la mesure de performance ; les éléments de gestion de portefeuille.