Investing and Managing Risk in a Trump and Brexit World
De som köpt den här boken har ofta också köpt The 48 Laws of Power av Robert Greene (häftad).
Köp båda 2 för 524 krWalter Marlowe has been an active investor in both the US and
UK stock markets for over 40 years. He was a banker in the US,
the Netherlands and the UK for over 30 years with experience
in corporate banking, private equity and leveraged debt.
He has also worked extensively in bank consulting in
Europe and the Arabian Gulf privately and in association with
BankTandD Consulting, London and has taught and lectured
on private equity, bank strategy and investment strategy at City
University, London and Boston University Graduate Business
School, London and for a number of banks and training
consultancies.
Mr. Marlowe was born in New York City and has an MBA in
banking and international finance from New York University's
Stern School of Business.
The author and his wife Maureen live in London and on the
U.S. east coast. They have two daughters and two grandsons all
of whom live in the Los Angeles area.
chapter 1: introduction
chapter 2: the core portfolio
chapter 3: risk management
chapter 4: portfolio construction and analysis
chapter 5: idea generation
chapter 6: defensive investing rules
chapter 7: investment choices: stocks, etfs and funds
chapter 8: technical analysis
appendix 1: stop limits
appendix 2: conviction investing
appendix 3: rule 1, stop losses and risk management
appendix 4: inflation and the battle for investment survival
appendix 5: correlation and diversification
appendix 6: modern portfolio theory
appendix 7: top down or bottom up?
appendix 8: position sizing – an essential element of trading success
appendix 9: etfs and hedge funds
appendix 10: fund managers
appendix 11: day traders
appendix 12: earning added income on your portfolio – selling covered call options
appendix 13: behavioral finance