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Trading Options in Turbulent Markets : Master Uncertainty through Active Volatility Management Ed. 2 / Larry SHOVER / BLOOMBERG PRESS (2012)
Titre : Trading Options in Turbulent Markets : Master Uncertainty through Active Volatility Management Ed. 2 Type de document : e-book Auteurs : Larry SHOVER Editeur : BLOOMBERG PRESS Année de publication : 2012 ISBN/ISSN/EAN : 9781118343548 Note générale : copyrighted Langues : Anglais (eng) Résumé : Top options expert Larry Shover returns to discuss how to interpret, and profit from, market volatility Trading Options in Turbulent Markets, Second Edition skillfully explains the intricacies of options volatility and shows you how to use options to cope, and profit from, market turbulence. Throughout this new edition, options expert Larry Shover reveals how to use historical volatility to predict future volatility for a security and addresses how you can utilize that knowledge to make better trading decisions. Along the way, he also defines the so-called Greeks?delta, vega, theta, and gamma?and explains what drives their values and their relationship to historic and implied volatility. Shover then provides effective strategies for trading options contracts in uncertain times, addressing the decision-making process and how to trade objectively in the face of unpredictable and irrational market moves. Includes a new chapter of the VIX, more advanced material on volatility suitable for institutional or intermediate options trader, and additional volatility-based strategies Answers complex questions such as: How does a trader know when to tolerate risk and How does a successful trader respond to adversity? Provides a different perspective on a variety of options strategies, including covered calls, naked and married puts, collars, straddles, vertical spreads, calendar spreads, butterflies, condors, and more As volatility becomes a greater focus of traders and investors, Trading Options in Turbulent Markets, Second Edition will become an important resource for in-depth insights, practical advice, and profitable strategies. Nombre d'accès : Illimité En ligne : http://library.ez.neoma-bs.fr/login?url=https://www.scholarvox.com/book/88944945 Permalink : https://cataloguelibrary.neoma-bs.fr/index.php?lvl=notice_display&id=578569 Bonds : The Unbeaten Path to Secure Investment Growth Ed. 2 / Hildy RICHELSON / BLOOMBERG PRESS (2011)
Titre : Bonds : The Unbeaten Path to Secure Investment Growth Ed. 2 Type de document : e-book Auteurs : Hildy RICHELSON Editeur : BLOOMBERG PRESS Année de publication : 2011 ISBN/ISSN/EAN : 9781118004463 Note générale : copyrighted Langues : Anglais (eng) Résumé : Updated edition of the established classic on investing in bonds In Bonds: The Unbeaten Path to Secure Investment Growth, Second Edition, the fully revised and updated edition of the classic guide to demystifying the bonds market, veteran investor husband and wife team Hildy and Stan Richelson expose the myth of stocks' superior investment returns and propose an all-bond portfolio as a sure-footed strategy that will ensure positive returns. Designed to educate novice and sophisticated investors alike, as well as to serve as a tool for financial advisers, the book explains why and when bonds can be the right choice. Case studies, detailed bond strategies, and a financial planning overview bring home the value of bonds in achieving financial goals. Presenting a broad spectrum of bond-investment options, and describing how to purchase bonds at the best prices, the book shows how to make real money by investing in bonds. The strategies presented here are designed to help the reader determine how to use bonds to take control of their own financial destiny. New edition includes information on corporate bonds, emerging market bonds, municipal bonds, the new global ratings, and how to protect against municipal defaults Looks at how bond portfolios protected against market volatility in the 2007-2008 crash and how they can do the same in the future Includes information on how the bond market has changed The wealthiest investors and financial advisers use the bond strategies outlined in this book to maximize the return on their portfolios while providing security of principal With more bond options available than ever before, Bonds continues to be a must-have for anyone looking to understand the investment opportunities available to them. Nombre d'accès : Illimité En ligne : http://library.ez.neoma-bs.fr/login?url=https://www.scholarvox.com/book/88944156 Permalink : https://cataloguelibrary.neoma-bs.fr/index.php?lvl=notice_display&id=577981 Financial Origami : How the Wall Street Model Broke Ed. 1 / Brendan MOYNIHAN / BLOOMBERG PRESS (2011)
Titre : Financial Origami : How the Wall Street Model Broke Ed. 1 Type de document : e-book Auteurs : Brendan MOYNIHAN Editeur : BLOOMBERG PRESS Année de publication : 2011 ISBN/ISSN/EAN : 9781118001813 Note générale : copyrighted Langues : Anglais (eng) Résumé : An in-depth look at the failure of Wall Street's "proven" financial models Origami is the Japanese art of folding paper into intricate and aesthetically attractive shapes. As such, it is the perfect metaphor for the Wall Street financial engineering model, which ultimately proved to be the underlying cause of the 2008 financial crisis. In Financial Origami, Brendan Moynihan describes how the Wall Street business model evolved from a method to transfer risk into a method for manufacturing risk. Along the way, this timely book skillfully dissects financial engineering and addresses how it's often a mechanism to evade regulatory constraints, provide institutional investors with customized products, and, of course, generate revenue for financial engineers. Reveals how Wall Street's financial engineering business model morphed into something destructive Highlights how the origami model worked well in the comparatively stable years of the early 2000s, when there was less risk to transfer Discusses how Wall Street began manufacturing risk by creating products that multiplied risk exposures and encouraged subprime lending With the collapse of Lehman Brother the Wall Street business model effectively broke. But there are many lessons to be learned from what has transpired, and Financial Origami will show you what they are. Nombre d'accès : Illimité En ligne : http://library.ez.neoma-bs.fr/login?url=https://www.scholarvox.com/book/88944148 Permalink : https://cataloguelibrary.neoma-bs.fr/index.php?lvl=notice_display&id=577975 Zombie Banks : How Broken Banks and Debtor Nations Are Crippling the Global Economy Ed. 1 / Yalman ONARAN / BLOOMBERG PRESS (2011)
Titre : Zombie Banks : How Broken Banks and Debtor Nations Are Crippling the Global Economy Ed. 1 Type de document : e-book Auteurs : Yalman ONARAN Editeur : BLOOMBERG PRESS Année de publication : 2011 ISBN/ISSN/EAN : 9781118094525 Note générale : copyrighted Langues : Anglais (eng) Résumé : An in-depth look at the problems surrounding zombie banks and their dangerous effect on the global economy ?The title is worthy of a B movie, but it's also apt. Bloomberg News reporter Yalman Onaran, supported by former U.S. Federal Deposit Insurance Corp. chief Sheila Bair - who provides a foreword and numerous interviews - urge that insolvent banks both small and too big to fail be allowed to do precisely that. Reading bank balance sheets is not everyone's idea of a good time. But Mr. Onaran, with support from Ms. Bair, does the chore and explains what it means. Mr. Onaran shows that the process of rescuing dead and dying banks is increasing systemic risk in the global banking system. And that is really more frightening than scream flicks from Tinseltown.? -- Financial Post ?Yalman Onaran knows of putrid financial institutions, having written about them in his native Turkey so successfully he brought down a few in Istanbul in the late '90's.? -- Huffington Post ?Do We Love Zombie Banks? The new book by Yalman Onaran of Bloomberg News, Zombie Banks: How Broken Banks and Debtor Nations Are Crippling the Global Economy, is a well-organized and clearly written discussion of the use of leverage to provide growth in many different economies. Onaran has carefully researched the zombie phenomenon and makes some important points in this concise volume about both public policy and the concerns of investors. One of the more interesting early threads in the book is the juxtaposition of the experience of the US in the S&L crisis and Japan in the 1980s and 1990s with the US today. Zombie Banks is a good review of the latest thinking about the ebb and flow of the political economy.? -- R. Christopher Whalen, author of Inflated Zombie banking has become standard operating procedure for big debtor nations. They prop up failing institutions, print money, and avoid financial corrections. But in an attempt to prolong the inevitable, bigger problems are created. The approach used now has not, and will not, work. This timely book reveals why. Zombie Banks tells the story of how debtor nations and failing institutions are damaging the long-term prospects of the global economy. Author Yalman Onaran, a veteran Bloomberg News reporter and financial banking sector expert, examines exactly what a zombie bank is and why they are kept alive. He also discusses how they hurt economic recovery and what needs to be done in order to restore stability. Along the way, Onaran takes an honest look at how we arrived at this point and details the harsh realities that must be faced, and the serious steps that must be taken, in order to get things headed in the right direction. Puts insolvent banks and debtor nations in the spotlight and examines how they are crippling the global economy On the record sources include Paul Volcker, Joseph Stiglitz, Sheila Bair, and many more bank executives, regulators, politicians, and policymakers in the United States and abroad Takes the complexity of the current situation and translates it in a way that makes it understandable While the short-term measures taken to stave off depression and rejuvenate economic growth may offer hope, they are unsustainable over the long term. Get a better look at what really lies ahead, and what it will take to improve our economic situation, with this book. Nombre d'accès : Illimité En ligne : http://library.ez.neoma-bs.fr/login?url=https://www.scholarvox.com/book/88944889 Permalink : https://cataloguelibrary.neoma-bs.fr/index.php?lvl=notice_display&id=578517 Alternative Assets and Strategic Allocation : Rethinking the Institutional Approach Ed. 1 / John B. ABBINK / BLOOMBERG PRESS (2010)
Titre : Alternative Assets and Strategic Allocation : Rethinking the Institutional Approach Ed. 1 Type de document : e-book Auteurs : John B. ABBINK Editeur : BLOOMBERG PRESS Année de publication : 2010 ISBN/ISSN/EAN : 9781576603680 Note générale : copyrighted Langues : Anglais (eng) Résumé : An insightful guide to making strategic investment allocation decisions that embraces both alternative and conventional assets In this much-needed resource, alternative and portfolio management expert John Abbink demonstrates new ways of analyzing and deploying alternative assets and explains the practical application of these techniques. Alternative Assets and Strategic Allocation clearly shows how alternative investments fit into portfolios and the role they play in an investment allocation that includes traditional investments as well. This book also describes innovative methods for valuation as applied to alternatives that previously have been difficult to analyze. Offers institutional investors, analysts, researchers, portfolio managers, and financial academics a down-to-earth method for measuring and analyzing alternative assets Reviews some of the latest alternatives that are increasing in popularity, such as high-frequency trading, direct lending, and long-term investment in real assets Outlines a strategic approach for including alternative investments into portfolios and shows the pivotal role they play in an investment allocation Using the information found in this book, you'll have a clearer sense of how to approach investment issues related to alternative assets and discover what it takes to make these products work for you. Nombre d'accès : Illimité En ligne : http://library.ez.neoma-bs.fr/login?url=https://www.scholarvox.com/book/88944087 Permalink : https://cataloguelibrary.neoma-bs.fr/index.php?lvl=notice_display&id=577923 Corporate Valuation for Portfolio Investment : Analyzing Assets, Earnings, Cash Flow, Stock Price, Governance, and Special Situations Ed. 1 / Robert A. G. MONKS / BLOOMBERG PRESS (2010)PermalinkPermalinkTrader's Guide to Key Economic Indicators Ed. Updated and Expanded / Richard A. YAMARONE / BLOOMBERG PRESS (2007)PermalinkInvesting in REITs / Ralph L. BLOCK / BLOOMBERG PRESS (2006)PermalinkPermalinkNew Fiduciary Standard : The 27 Prudent Investment Practices for Financial Advisers, Trustees and Plan Sponsors / BLOOMBERG PRESS (2005)PermalinkBuilding a High-End Financial Services Practice : Proven Techniques for Planners, Wealth Managers, and Other Advisers / BLOOMBERG PRESS (2004)Permalink
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