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EBookClubs

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Book Power Investing with Sector Funds Mutual Fund Timing and Allocation Strategies

Download or read book Power Investing with Sector Funds Mutual Fund Timing and Allocation Strategies written by Peter W. Madlem and published by CRC Press. This book was released on 1998-07-27 with total page 380 pages. Available in PDF, EPUB and Kindle. Book excerpt: By learning to read the direction and strengths of the market, even novice mutual fund investors can outperform the best stock pickers. That's because up to 90 percent of a stock's price movement is determined by trends in the market or the industry-not in the qualities of the company. By using point-and-figure charting techniques, Power Investing With Sector Funds supplies a simple and effective way to gauge the ebb-and-flow of the stock market, and ways to invest in the best-performing sectors at the right time, both in the U.S. and abroad. With the help of four technical tools-charting, trend lines, 20-week moving averages and relative strength-Power Investing With Sector Funds takes a step-by-step process to completely cover the principles of diversification, asset allocation, and sector investing to apply the technique for a successful investment program. Best of all, the system outlined in the book takes just 15 minutes a day!

Book Power Investing with Sector Funds

Download or read book Power Investing with Sector Funds written by Peter Madlem and published by John Magee. This book was released on 1999 with total page 358 pages. Available in PDF, EPUB and Kindle. Book excerpt: Supplies a simple and effective technique for gauging ebbs and flows in the market -- and investing in the best-performing sectors at the right time, both in the U.S. and abroad.

Book Power Investing with Sector Mutual Fund Workbook

Download or read book Power Investing with Sector Mutual Fund Workbook written by P. W. Madlem and published by St. Lucie Press. This book was released on 1999-11 with total page 256 pages. Available in PDF, EPUB and Kindle. Book excerpt: Take control of your financial future and know not only what to buy and sell, but when to be in or out of the market entirely. This workbook will solidify and expand the understanding and application of principles presented in the author's previous book, Power Investing with Sector Funds: Mutual Fund Timing and Allocation Strategies.

Book Index Funds

Download or read book Index Funds written by Samuel Feron and published by Samuel Feron. This book was released on 2023-07-04 with total page 82 pages. Available in PDF, EPUB and Kindle. Book excerpt: Your Gateway to Low-Cost Passive Income Investments Is Finally Here! Are you a beginner seeking a hassle-free and low-effort approach to building long-term wealth and financial security? Look no further! Imagine a world where you can build substantial wealth without spending countless hours analyzing stocks or stressing over market volatility. Introducing Index Funds, the ultimate roadmap to financial freedom through diversified ETFs and passive investments. Discover the power of index funds, investment vehicles that provide broad market exposure and diversification, all at a low cost. With this book, you’ll also: - Learn how to leverage these game-changing instruments to your advantage and effortlessly harness the potential of the stock market. - Discover how to construct a well-diversified portfolio that reflects the performance of the overall market, mitigating risks and maximizing potential returns. - Master the art of passive investing, where you can set it and forget it, allowing your investments to grow steadily over time. - Find step-by-step instructions, expert insights, and practical tips, ensuring that you can navigate the world of ETFs with confidence. Say goodbye to stress and hello to financial security. - And so much more Picture yourself enjoying the freedom and peace of mind that comes with a secure financial future — a life where your investments do the work for you. With the strategies outlined in this book, you can make your dreams of financial freedom a reality! Don't let indecision hold you back from achieving the financial future you desire. Grab your copy of Index Funds today and unlock the path to long-term wealth creation with minimum time and effort. Your journey towards financial security is about to begin. Scroll up and Get Your Copy Now!

Book The 90  Solution

Download or read book The 90 Solution written by David L. Rogers and published by Wiley. This book was released on 2006-10-06 with total page 264 pages. Available in PDF, EPUB and Kindle. Book excerpt: The 90% Solution is about understanding the most important factors impacting today’s stock market, how they influence performance—and how they can be used to produce higher returns. In it, author David Rogers challenges traditional investment strategies, then points the way to new and alternative investment methods that can help you rise above the “expectations for mediocrity” that seem to dominate conventional investment thinking.

Book Swing Pricing and Fragility in Open end Mutual Funds

Download or read book Swing Pricing and Fragility in Open end Mutual Funds written by Dunhong Jin and published by International Monetary Fund. This book was released on 2019-11-01 with total page 46 pages. Available in PDF, EPUB and Kindle. Book excerpt: How to prevent runs on open-end mutual funds? In recent years, markets have observed an innovation that changed the way open-end funds are priced. Alternative pricing rules (known as swing pricing) adjust funds’ net asset values to pass on funds’ trading costs to transacting shareholders. Using unique data on investor transactions in U.K. corporate bond funds, we show that swing pricing eliminates the first-mover advantage arising from the traditional pricing rule and significantly reduces redemptions during stress periods. The positive impact of alternative pricing rules on fund flows reverses in calm periods when costs associated with higher tracking error dominate the pricing effect.

Book The Power of Passive Investing

Download or read book The Power of Passive Investing written by Richard A. Ferri and published by John Wiley & Sons. This book was released on 2010-11-04 with total page 290 pages. Available in PDF, EPUB and Kindle. Book excerpt: A practical guide to passive investing Time and again, individual investors discover, all too late, that actively picking stocks is a loser's game. The alternative lies with index funds. This passive form of investing allows you to participate in the markets relatively cheaply while prospering all the more because the money saved on investment expenses stays in your pocket. In his latest book, investment expert Richard Ferri shows you how easy and accessible index investing is. Along the way, he highlights how successful you can be by using this passive approach to allocate funds to stocks, bonds, and other prudent asset classes. Addresses the advantages of index funds over portfolios that are actively managed Offers insights on index-based funds that provide exposure to designated broad markets and don't make bets on individual securities Ferri is also author of the Wiley title: The ETF Book and co-author of The Bogleheads' Guide to Retirement Planning If you're looking for a productive investment approach that won't take all of your time to implement, then The Power of Passive Investing is the book you need to read.

Book Asset Allocation Strategies for Mutual Funds

Download or read book Asset Allocation Strategies for Mutual Funds written by Giuseppe Galloppo and published by Springer Nature. This book was released on 2021-07-24 with total page 485 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book offers an overview of the best-working strategies in the field of equity and fixed income mutual fund-based portfolio management. This timely research considers different market conditions, such as global financial crises, across various geographical regions such as the USA and Europe. Combining academic and practical findings, the author presents a practitioner perspective on mutual fund-based portfolio strategies, appealing not only to finance scholars but also professionals within the asset management industry. This book synthesizes a large part of the academic research to date on the mutual fund industry by drawing from the most widely cited academic journals. The author makes a systematic use of numerical examples to facilitate the understanding of Investment themes organized around several important topics: size, diversification, flows, active management, volatility, performance persistence and rating.

Book Investment Company Act Release

Download or read book Investment Company Act Release written by United States. Securities and Exchange Commission and published by . This book was released on 1967 with total page 974 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book Strategic Asset Allocation

Download or read book Strategic Asset Allocation written by John Y. Campbell and published by OUP Oxford. This book was released on 2002-01-03 with total page 272 pages. Available in PDF, EPUB and Kindle. Book excerpt: Academic finance has had a remarkable impact on many financial services. Yet long-term investors have received curiously little guidance from academic financial economists. Mean-variance analysis, developed almost fifty years ago, has provided a basic paradigm for portfolio choice. This approach usefully emphasizes the ability of diversification to reduce risk, but it ignores several critically important factors. Most notably, the analysis is static; it assumes that investors care only about risks to wealth one period ahead. However, many investors—-both individuals and institutions such as charitable foundations or universities—-seek to finance a stream of consumption over a long lifetime. In addition, mean-variance analysis treats financial wealth in isolation from income. Long-term investors typically receive a stream of income and use it, along with financial wealth, to support their consumption. At the theoretical level, it is well understood that the solution to a long-term portfolio choice problem can be very different from the solution to a short-term problem. Long-term investors care about intertemporal shocks to investment opportunities and labor income as well as shocks to wealth itself, and they may use financial assets to hedge their intertemporal risks. This should be important in practice because there is a great deal of empirical evidence that investment opportunities—-both interest rates and risk premia on bonds and stocks—-vary through time. Yet this insight has had little influence on investment practice because it is hard to solve for optimal portfolios in intertemporal models. This book seeks to develop the intertemporal approach into an empirical paradigm that can compete with the standard mean-variance analysis. The book shows that long-term inflation-indexed bonds are the riskless asset for long-term investors, it explains the conditions under which stocks are safer assets for long-term than for short-term investors, and it shows how labor income influences portfolio choice. These results shed new light on the rules of thumb used by financial planners. The book explains recent advances in both analytical and numerical methods, and shows how they can be used to understand the portfolio choice problems of long-term investors.

Book The Publishers Weekly

Download or read book The Publishers Weekly written by and published by . This book was released on 1997 with total page 734 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book European Union Policies at a Time of Crisis

Download or read book European Union Policies at a Time of Crisis written by Tomasz Grzegorz Grosse and published by Wydawnictwo Naukowe Scholar. This book was released on 2017-03-02 with total page 354 pages. Available in PDF, EPUB and Kindle. Book excerpt: In recent years, and more specifically, since the outbreak of the Eurozone crisis in 2010, the model of integration has changed. The rising political power of the strongest Member States and the political segmentation of the European Union into separate circles of integration have become the new reality. These processes have been accompanied by a range of related changes, such as the growing politicisation of the European Commission, increasing institutionalisation of the euro area and petrification of the geographical and political division into central and peripheral states in the EU. At this point, it is difficult to predict whether these changes will prove temporary or permanent, and what will be their systemic consequences (or, in other words, how will they impact Europe’s political system). It is similarly difficult to judge how the changes will influence specific EU policies. An attempt to answer these difficult but compelling questions is the objective of our book. Tomasz Grzegorz Grosse Professor of Political Science and Head of Department of European Union Policies at the University of Warsaw; author of In Search of Geo-economics in Europe and coeditor of The Aspects of a Crisis The authors of this volume offer a comprehensive analysis of conditions and results of EU policies in the context of European integration. The ambitious scope of the project required the knowledge of economics, history, political science, international relations, law and even sociology. The authors fulfill their promise to the readers: the volume contains a comprehensive and detailed elucidation of the influence of the crisis on the integration practice, and on the contemporary conditions of EU integration, including both its structure and functioning. Zbigniew Czachór author of The Crisis and Disrupted Dynamics of the European Union The volume edited by Tomasz G. Grosse promises to be a very valuable contribution to Polish European studies. It belongs to the broader field of critical reflections on European integration and as such, it opens new possibilities of constructive debate about the present and the future of the European Union. Janusz Ruszkowski coauthor of Euro: Common Currency of the United Europe The Authors: Paweł J. Borkowski, Jacek Czaputowicz, Tomasz Grzegorz Grosse, Krzysztof M. Księżopolski, Justyna Miecznikowska, Jadwiga Nadolska, Artur Nowak-Far, Kamila Pronińska, Małgorzata Smutek, Krzysztof Szewior, Jolanta Szymańska, Joanna Ziółkowska.

Book Navigate the Noise

Download or read book Navigate the Noise written by Richard Bernstein and published by John Wiley & Sons. This book was released on 2005-08-15 with total page 273 pages. Available in PDF, EPUB and Kindle. Book excerpt: Transform today's surplus of investment information into a high-level investment strategy In an investment climate characterized by rapidly increasing access to information, it has become a real problem to sort out the legitimate financial advice, grounded in traditional analysis, from the constant stream of useless information, or "noise." Such "noise", through technological advances such as the Internet, has become widespread. This overload of information is hurting investors, since it makes real analysis based on factual inference harder to come by. This book steers investors through the "noise" to show them where and how to find solid investment information. This step-by-step guide is based on a very popular presentation the author makes to new private clients at Merrill Lynch. Richard Bernstein (New York, NY) is First Vice President and Chief Quantitative Strategist at Merrill Lynch & Company. Prior to joining Merrill Lynch, he worked for E. F. Hutton and Tucker Anthony. He has been voted to the Institutional Investor All-America Research Team in each of the last eight years, and has appeared on Wall Street Week with Louis Rukeyser.

Book The Savvy Investor s Guide to Building Wealth Through Traditional Investments

Download or read book The Savvy Investor s Guide to Building Wealth Through Traditional Investments written by H. Kent Baker and published by Emerald Group Publishing. This book was released on 2020-04-16 with total page 108 pages. Available in PDF, EPUB and Kindle. Book excerpt: Would you like to be a millionaire? While alternative investments are an option, this easy-to-read guide focuses on traditional investments – stocks, bonds, and cash or cash equivalents. Especially written for novice investors, if you want to become a millionaire and don’t have the luck to buy a lottery ticket, this is the guide for you.

Book Kiplinger s Personal Finance

Download or read book Kiplinger s Personal Finance written by and published by . This book was released on 1994-10 with total page 148 pages. Available in PDF, EPUB and Kindle. Book excerpt: The most trustworthy source of information available today on savings and investments, taxes, money management, home ownership and many other personal finance topics.

Book The Cumulative Book Index

Download or read book The Cumulative Book Index written by and published by . This book was released on 1999 with total page 2520 pages. Available in PDF, EPUB and Kindle. Book excerpt:

Book Strategic Investment Funds

Download or read book Strategic Investment Funds written by Shanthi Divakaran and published by World Bank Publications. This book was released on 2022-06-20 with total page 337 pages. Available in PDF, EPUB and Kindle. Book excerpt: Strategic investment funds (SIFs) have gained prominence over the past two decades as governments and other public sponsors globally have increasingly co-opted the investment fund model to further policy objectives. Since 2000, more than 30 SIFs have been formed at the national level, typically to boost economic growth through infrastructure or small and medium enterprise investment. In the current COVID-19 pandemic environment, governments have frequently turned to sovereign investment vehicles to address the economic effects of the pandemic, echoing the emergence of new SIFs in the aftermath of the global financial crisis. However, SIFs are not devoid of challenges, and the setup and operation of such funds can be fraught with risks, particularly in contexts of weaker governance, inadequate rule of law, and limited financial market regulation. The intent of 'Strategic Investment Funds: Establishment and Operations' is to provide guidance to practitioners and policy makers considering a SIF model where little widely available, practice-based experience has been documented and disseminated. The book provides a reference for policy makers who are creating or strengthening the operations of SIFs, particularly as governments examine the value of such funds as a policy instrument in the aftermath of the COVID-19 pandemic.