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Book Thestreet Ratings  Guide to Bond   Money Market Mutual Funds  Winter 2012 13

Download or read book Thestreet Ratings Guide to Bond Money Market Mutual Funds Winter 2012 13 written by Thestreet Ratings and published by Grey House Publishing. This book was released on 2013-02 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: TheStreet Ratings Guide to Bond & Money Market Mutual Funds has everything your patrons need to easily identify the top-performing fixed income funds on the market today. Each quarterly edition contains TheStreet's independent ratings and analyses on more than 4,600 fixed income funds – more than any other publication, including corporate bond funds, high-yield bond funds, municipal bond funds, mortgage security funds, money market funds, global bond funds and government bond funds. In addition, the fund's risk rating is combined with its three-year performance rating to get an overall picture of the fund's risk-adjusted performance. The resulting TheStreet Investment Rating gives a single, user-friendly, objective evaluation that makes it easy to compare one fund to another and select the right fund based on the level of risk tolerance. Most investors think of fixed income mutual funds as "safe" investments. That's not always the case, however, depending on the credit risk, interest rate risk, and prepayment risk of the securities owned by the fund. TheStreet Ratings assesses each of these risks and assigns each fund a risk rating to help investors quickly evaluate the fund's risk component. Plus, we include a handy Risk Profile Quiz to help you assess your personal tolerance for risk. So whether you're an investing novice or professional, the Guide to Bond and Money Market Mutual Funds gives you everything you need to find a mutual fund that is right for you.

Book Thestreet Ratings Guide to Bond   Money Market Mutual Funds  Winter 13 14

Download or read book Thestreet Ratings Guide to Bond Money Market Mutual Funds Winter 13 14 written by Ratings Thestreet and published by . This book was released on 2014-02 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: TheStreet Ratings Guide to Bond & Money Market Mutual Funds provides ratings and analyses of more than 4,200 fixed income funds, more than any other publication, including corporate bond funds, high-yield bond funds, municipal bond funds, mortgage securit

Book Thestreet Ratings  Guide to Bond   Money Market Mutual Funds  Fall 2012

Download or read book Thestreet Ratings Guide to Bond Money Market Mutual Funds Fall 2012 written by Thestreet Ratings and published by Street Ratings Guide to Bond &. This book was released on 2012-10 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: TheStreet Ratings Guide to Bond & Money Market Mutual Funds has everything your patrons need to easily identify the top-performing fixed income funds on the market today. Each quarterly edition contains TheStreet's independent ratings and analyses on more than 4,600 fixed income funds – more than any other publication, including corporate bond funds, high-yield bond funds, municipal bond funds, mortgage security funds, money market funds, global bond funds and government bond funds. In addition, the fund's risk rating is combined with its three-year performance rating to get an overall picture of the fund's risk-adjusted performance. The resulting TheStreet Investment Rating gives a single, user-friendly, objective evaluation that makes it easy to compare one fund to another and select the right fund based on the level of risk tolerance. Most investors think of fixed income mutual funds as "safe" investments. That's not always the case, however, depending on the credit risk, interest rate risk, and prepayment risk of the securities owned by the fund. TheStreet Ratings assesses each of these risks and assigns each fund a risk rating to help investors quickly evaluate the fund's risk component. Plus, we include a handy Risk Profile Quiz to help you assess your personal tolerance for risk. So whether you're an investing novice or professional, the Guide to Bond and Money Market Mutual Funds gives you everything you need to find a mutual fund that is right for you.

Book TheStreet Ratings Guide to Bond   Money Market Mutual Funds Summer 2012

Download or read book TheStreet Ratings Guide to Bond Money Market Mutual Funds Summer 2012 written by Thestreet Ratings and published by Grey House Pub. This book was released on 2012-08-07 with total page pages. Available in PDF, EPUB and Kindle. Book excerpt: TheStreet Ratings Guide to Bond & Money Market Mutual Funds has everything your patrons need to easily identify the top-performing fixed income funds on the market today. Each quarterly edition contains TheStreet's independent ratings and analyses on more than 4,600 fixed income funds – more than any other publication, including corporate bond funds, high-yield bond funds, municipal bond funds, mortgage security funds, money market funds, global bond funds and government bond funds. In addition, the fund's risk rating is combined with its three-year performance rating to get an overall picture of the fund's risk-adjusted performance. The resulting TheStreet Investment Rating gives a single, user-friendly, objective evaluation that makes it easy to compare one fund to another and select the right fund based on the level of risk tolerance. Most investors think of fixed income mutual funds as "safe" investments. That's not always the case, however, depending on the credit risk, interest rate risk, and prepayment risk of the securities owned by the fund. TheStreet Ratings assesses each of these risks and assigns each fund a risk rating to help investors quickly evaluate the fund's risk component. Plus, we include a handy Risk Profile Quiz to help you assess your personal tolerance for risk. So whether you're an investing novice or professional, the Guide to Bond and Money Market Mutual Funds gives you everything you need to find a mutual fund that is right for you.

Book Thestreet Ratings Guide to Bond   Money Market Mutual Funds  Winter 15 16

Download or read book Thestreet Ratings Guide to Bond Money Market Mutual Funds Winter 15 16 written by Thestreet Ratings and published by Financial Ratings Series. This book was released on 2016-02 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: TheStreet Ratings Guide to Bond & Money Market Mutual Funds provides ratings and analyses of more than 4,200 fixed income funds, more than any other publication, including corporate bond funds, high-yield bond funds, municipal bond funds, mortgage securit

Book TheStreet  com Ratings Guide to Bond and Money Market Mutual Funds

Download or read book TheStreet com Ratings Guide to Bond and Money Market Mutual Funds written by Grey House Publishing and published by Thestreet.com Ratings. This book was released on 2008-05 with total page 520 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book The Street Ratings  Guide to Bond   Money Market Mutual Funds  Spring 2013

Download or read book The Street Ratings Guide to Bond Money Market Mutual Funds Spring 2013 written by Thestreet Ratings and published by Grey House Pub. This book was released on 2013-04 with total page 503 pages. Available in PDF, EPUB and Kindle. Book excerpt: TheStreet Ratings Guide to Bond & Money Market Mutual Funds has everything your patrons need to easily identify the top-performing fixed income funds on the market today. Each quarterly edition contains TheStreet's independent ratings and analyses on more than 4,600 fixed income funds – more than any other publication, including corporate bond funds, high-yield bond funds, municipal bond funds, mortgage security funds, money market funds, global bond funds and government bond funds. In addition, the fund's risk rating is combined with its three-year performance rating to get an overall picture of the fund's risk-adjusted performance. The resulting TheStreet Investment Rating gives a single, user-friendly, objective evaluation that makes it easy to compare one fund to another and select the right fund based on the level of risk tolerance. Most investors think of fixed income mutual funds as "safe" investments. That's not always the case, however, depending on the credit risk, interest rate risk, and prepayment risk of the securities owned by the fund. TheStreet Ratings assesses each of these risks and assigns each fund a risk rating to help investors quickly evaluate the fund's risk component. Plus, we include a handy Risk Profile Quiz to help you assess your personal tolerance for risk. So whether you're an investing novice or professional, the Guide to Bond and Money Market Mutual Funds gives you everything you need to find a mutual fund that is right for you.

Book Thestreet Ratings Guide to Bond   Money Market Mutual Funds

Download or read book Thestreet Ratings Guide to Bond Money Market Mutual Funds written by Thestreet Ratings and published by Financial Ratings Series. This book was released on 2013-10 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: TheStreet Ratings Guide to Bond & Money Market Mutual Funds has everything your patrons need to easily identify the top-performing fixed income funds on the market today. Each quarterly edition contains TheStreet's independent ratings and analyses on more than 4,600 fixed income funds – more than any other publication, including corporate bond funds, high-yield bond funds, municipal bond funds, mortgage security funds, money market funds, global bond funds and government bond funds. In addition, the fund's risk rating is combined with its three-year performance rating to get an overall picture of the fund's risk-adjusted performance. The resulting TheStreet Investment Rating gives a single, user-friendly, objective evaluation that makes it easy to compare one fund to another and select the right fund based on the level of risk tolerance. Most investors think of fixed income mutual funds as "safe" investments. That's not always the case, however, depending on the credit risk, interest rate risk, and prepayment risk of the securities owned by the fund. TheStreet Ratings assesses each of these risks and assigns each fund a risk rating to help investors quickly evaluate the fund's risk component. Plus, we include a handy Risk Profile Quiz to help you assess your personal tolerance for risk. So whether you're an investing novice or professional, the Guide to Bond and Money Market Mutual Funds gives you everything you need to find a mutual fund that is right for you.

Book Handbook of the Economics of Finance

Download or read book Handbook of the Economics of Finance written by G. Constantinides and published by Elsevier. This book was released on 2003-11-04 with total page 698 pages. Available in PDF, EPUB and Kindle. Book excerpt: Arbitrage, State Prices and Portfolio Theory / Philip h. Dybvig and Stephen a. Ross / - Intertemporal Asset Pricing Theory / Darrell Duffle / - Tests of Multifactor Pricing Models, Volatility Bounds and Portfolio Performance / Wayne E. Ferson / - Consumption-Based Asset Pricing / John y Campbell / - The Equity Premium in Retrospect / Rainish Mehra and Edward c. Prescott / - Anomalies and Market Efficiency / William Schwert / - Are Financial Assets Priced Locally or Globally? / G. Andrew Karolyi and Rene M. Stuli / - Microstructure and Asset Pricing / David Easley and Maureen O'hara / - A Survey of Behavioral Finance / Nicholas Barberis and Richard Thaler / - Derivatives / Robert E. Whaley / - Fixed-Income Pricing / Qiang Dai and Kenneth J. Singleton.

Book Learn to Earn

Download or read book Learn to Earn written by Peter Lynch and published by Simon and Schuster. This book was released on 2012-11-27 with total page 272 pages. Available in PDF, EPUB and Kindle. Book excerpt: Mutual fund superstar Peter Lynch and author John Rothchild explain the basic principles of the stock market and business in an investing guide that will enlighten and entertain anyone who is high school age or older. Many investors, including some with substantial portfolios, have only the sketchiest idea of how the stock market works. The reason, say Lynch and Rothchild, is that the basics of investing—the fundamentals of our economic system and what they have to do with the stock market—aren’t taught in school. At a time when individuals have to make important decisions about saving for college and 401(k) retirement funds, this failure to provide a basic education in investing can have tragic consequences. For those who know what to look for, investment opportunities are everywhere. The average high school student is familiar with Nike, Reebok, McDonald’s, the Gap, and The Body Shop. Nearly every teenager in America drinks Coke or Pepsi, but only a very few own shares in either company or even understand how to buy them. Every student studies American history, but few realize that our country was settled by European colonists financed by public companies in England and Holland—and the basic principles behind public companies haven’t changed in more than three hundred years. In Learn to Earn, Lynch and Rothchild explain in a style accessible to anyone who is high school age or older how to read a stock table in the daily newspaper, how to understand a company annual report, and why everyone should pay attention to the stock market. They explain not only how to invest, but also how to think like an investor.

Book The Behavior Gap

Download or read book The Behavior Gap written by Carl Richards and published by Penguin. This book was released on 2012-01-03 with total page 179 pages. Available in PDF, EPUB and Kindle. Book excerpt: "It's not that we're dumb. We're wired to avoid pain and pursue pleasure and security. It feels right to sell when everyone around us is scared and buy when everyone feels great. It may feel right-but it's not rational." -From The Behavior Gap Why do we lose money? It's easy to blame the economy or the financial markets-but the real trouble lies in the decisions we make. As a financial planner, Carl Richards grew frustrated watching people he cared about make the same mistakes over and over. They were letting emotion get in the way of smart financial decisions. He named this phenomenon-the distance between what we should do and what we actually do-"the behavior gap." Using simple drawings to explain the gap, he found that once people understood it, they started doing much better. Richards's way with words and images has attracted a loyal following to his blog posts for The New York Times, appearances on National Public Radio, and his columns and lectures. His book will teach you how to rethink all kinds of situations where your perfectly natural instincts (for safety or success) can cost you money and peace of mind. He'll help you to: • Avoid the tendency to buy high and sell low; • Avoid the pitfalls of generic financial advice; • Invest all of your assets-time and energy as well as savings-more wisely; • Quit spending money and time on things that don't matter; • Identify your real financial goals; • Start meaningful conversations about money; • Simplify your financial life; • Stop losing money! It's never too late to make a fresh financial start. As Richards writes: "We've all made mistakes, but now it's time to give yourself permission to review those mistakes, identify your personal behavior gaps, and make a plan to avoid them in the future. The goal isn't to make the 'perfect' decision about money every time, but to do the best we can and move forward. Most of the time, that's enough."

Book A Random Walk Down Wall Street

Download or read book A Random Walk Down Wall Street written by Burton Gordon Malkiel and published by W. W. Norton & Company. This book was released on 2003 with total page 422 pages. Available in PDF, EPUB and Kindle. Book excerpt: An informative guide to successful investing, offering a vast array of advice on how investors can tilt the odds in their favour.

Book Venture Capital and the Finance of Innovation

Download or read book Venture Capital and the Finance of Innovation written by Andrew Metrick and published by John Wiley and Sons. This book was released on 2011-06-15 with total page 1153 pages. Available in PDF, EPUB and Kindle. Book excerpt: This useful guide walks venture capitalists through the principles of finance and the financial models that underlie venture capital decisions. It presents a new unified treatment of investment decision making and mark-to-market valuation. The discussions of risk-return and cost-of-capital calculations have been updated with the latest information. The most current industry data is included to demonstrate large changes in venture capital investments since 1999. The coverage of the real-options methodology has also been streamlined and includes new connections to venture capital valuation. In addition, venture capitalists will find revised information on the reality-check valuation model to allow for greater flexibility in growth assumptions.

Book Herd Behavior in Financial Markets

Download or read book Herd Behavior in Financial Markets written by Sushil Bikhchandani and published by . This book was released on 2000 with total page 38 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book Rich Dad s Guide to Investing

Download or read book Rich Dad s Guide to Investing written by Robert T. Kiyosaki and published by Business Plus. This book was released on 2001-01-15 with total page 370 pages. Available in PDF, EPUB and Kindle. Book excerpt: Rich Dad's Guide to Investing is a guide to understanding the real earning power of money by learning some of the investing secrets of the wealthy.

Book The Origins and Development of Financial Markets and Institutions

Download or read book The Origins and Development of Financial Markets and Institutions written by Jeremy Atack and published by Cambridge University Press. This book was released on 2009-03-16 with total page 497 pages. Available in PDF, EPUB and Kindle. Book excerpt: Collectively, mankind has never had it so good despite periodic economic crises of which the current sub-prime crisis is merely the latest example. Much of this success is attributable to the increasing efficiency of the world's financial institutions as finance has proved to be one of the most important causal factors in economic performance. In a series of insightful essays, financial and economic historians examine how financial innovations from the seventeenth century to the present have continually challenged established institutional arrangements, forcing change and adaptation by governments, financial intermediaries, and financial markets. Where these have been successful, wealth creation and growth have followed. When they failed, growth slowed and sometimes economic decline has followed. These essays illustrate the difficulties of co-ordinating financial innovations in order to sustain their benefits for the wider economy, a theme that will be of interest to policy makers as well as economic historians.