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The textbook discusses risk management in capital markets and presents various techniques of portfolio optimization. Special attention is given to risk measurement and credit risk management. Furthermore, the author discusses optimal investment problems and presents various examples. In the last...
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Global Macro Rules -- China - the only Emerging Market that Counts -- How to Trade EM FX -- How to Trade EM FX - Event Guide -- How to Trade Emerging Market Rates-The Cycle -- Real Rates - Simply Superior -- How to Trade EM Rates - Event Guide -- How to Trade EM Credit -- Portfolio Construction...
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Stock and bond returns since 1802 -- Risk, return, and portfolio allocation : why stocks are less risky than bonds in the long-run -- Stock indexes: proxies for the market -- The S&P 500 index: a half-century of U.S. corporate history -- The impact of taxes on stock and bond returns : stocks...
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"One of the ten best investment books of all time." --The Washington PostThe stock-investing classic--updated to help you win consistently in the chaotic, post-meltdown global economyNow in its fifth edition, Stocks for the Long Run includes Jeremy Siegel's highly anticipated analysis of the...
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sind chaotisch. Viele Anleger ziehen sich von den Börsen zurück oder wagen sich gar nicht erst an den Aktienmarkt. Und doch …
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