Global Investing
John Wiley & Sons Inc (Verlag)
978-1-119-85666-5 (ISBN)
In Global Investing: A Practical Guide to the World’s Best Financial Opportunities, veteran portfolio manager Darrin Erickson walks readers through how to best analyze, understand, and invest in leading global businesses. In the book, you’ll discover how you can improve the performance of your investment portfolio by taking advantage of opportunities that exist outside of the borders of the country you happen to inhabit.
The author discusses how to identify and make investments around the world in effective and efficient ways, and how to successfully manage the risks associated with investing in a foreign country. You’ll also find:
Relevant information about key stock markets around the world
Insights into the underlying dynamics of the world’s major global industries
Fulsome discussions on how to evaluate companies within each global industry
Advice on how to construct a portfolio of global stocks that will help you to build wealth and protect it during times of stock market weakness
Descriptions of free and paid tools that belong on the radar of every successful global investor
An indispensable and accessible resource for investors with a desire to engage with the world’s financial markets, Global Investing is a must-read handbook for any investor seeking to expand their horizons beyond their own country’s borders.
DARRIN ERICKSON, MBA, CFA is a portfolio manager at Value Partners Investments based in Winnipeg, Canada, which serves clients in Canada and the United States. Darrin has over two decades of experience managing Global, US, North American, Science and Technology and long/short equity mandates.
Preface
Acknowledgements
About the Author
About the Contributors
Introduction [Typesetter: Intro to start on Arabic page]
Part One. Building Wealth Through Business Ownership
1. Own Good Businesses
Part Two. The Global Investment Opportunity
2. The Global Economy
3. Global Trade
4. Global Financial Markets
Part Three. Risks of Investing Globally
5. Market Cycle Risk
6. Currency Risk
7. Geopolitical Risk
Part Four. Buying Global Businesses
8. Company Analysis
Part Five. Global Sector & Industry Primers
9. Communication Services
10. Consumer Discretionary
11. Consumer Staples
12. Energy
13. Financials
14. Healthcare
15. Industrials
16. Information Technology
17. Materials
18. Real Estate
19. Utilities
Part Six. Own the Best and Leave the Rest
20. Portfolio Construction
Conclusion
Tools and Resources
Erscheinungsdatum | 01.12.2022 |
---|---|
Reihe/Serie | Wiley Trading |
Verlagsort | New York |
Sprache | englisch |
Maße | 152 x 229 mm |
Gewicht | 590 g |
Themenwelt | Mathematik / Informatik ► Informatik |
Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung | |
ISBN-10 | 1-119-85666-3 / 1119856663 |
ISBN-13 | 978-1-119-85666-5 / 9781119856665 |
Zustand | Neuware |
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