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Stocks for the Long Run - Jeremy Siegel

Stocks for the Long Run

(Autor)

Buch | Hardcover
416 Seiten
2008 | 4th edition
McGraw-Hill Professional (Verlag)
978-0-07-149470-0 (ISBN)
CHF 38,35 inkl. MwSt
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Covers global stocks and ETFs. This book examines the relationship between the economy and stock prices, covers performance data on domestic and global stock markets, reveals the characteristics of the best long-term stocks, and offers instructions on constructing a portfolio that will make you a better investor.
Stocks for the Long Run set a precedent as the most complete and irrefutable case for stock market investment ever written. Now, this bible for long-term investing continues its tradition with a fourth edition featuring updated, revised, and new material that will keep you competitive in the global market and up-to-date on the latest index instruments.

Wharton School professor Jeremy Siegel provides a potent mix of new evidence, research, and analysis supporting his key strategies for amassing a solid portfolio with enhanced returns and reduced risk. In a seamless narrative that incorporates the historical record of the markets with the realities of today's investing environment, the fourth edition features:



A new chapter on globalization that documents how the emerging world will soon overtake the developed world and how it impacts the global economyAn extended chapter on indexing that includes fundamentally weighted indexes, which have historically offered better returns and lower volatility than their capitalization-weighted counterpartsInsightful analysis on what moves the market and how little we know about the sources of big market changesA sobering look at behavioral finance and the psychological factors that can lead investors to make irrational investment decisions
A major highlight of this new edition of Stocks for the Long Run is the chapter on global investing. With the U.S. stock market currently holding less than half of the world's equity capitalization, it's important for investors to diversify abroad. This updated edition shows you how to create an “efficient portfolio” that best balances asset allocation in domestic and foreign markets and provides thorough coverage on sector allocation across the globe.

Stocks for the Long Run is essential reading for every investor and advisor who wants to fully understand the market-including its behavior, past trends, and future influences-in order to develop a prosperous long-term portfolio that is both safe and secure.

Jeremy J. Siegel is a professor of finance at the Wharton School of the University of Pennsylvania. Professor Siegel received his Ph.D. from M.I.T. and taught for four years at the University of Chicago before joining the Wharton faculty in 1976. He has written and lectured extensively about the economy and financial markets, monetary policy and interest rates, and stock and bond returns. Along with heading the macroeconomics module of the Morgan Bank Finance Program in New York, he is the academic director of the U.S. Securities Industry Institute and is on the Advisory Board of the Asian Securities Industry Association. Professor Siegel is courted by nearly every Wall Street firm as a consultant and lecturer and has appeared on CNBC, PBS, Wall Street Week, and NPR.

Foreword by Peter Bernstein

Part 1 Verdict of History

Part II Valuation, Future Stock REturns, and Style Investing

Part IV Stock Fluctuations in the Short Run

Part V Building Wealth Through Stocks

Erscheint lt. Verlag 16.1.2008
Sprache englisch
Maße 196 x 241 mm
Gewicht 964 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
ISBN-10 0-07-149470-7 / 0071494707
ISBN-13 978-0-07-149470-0 / 9780071494700
Zustand Neuware
Informationen gemäß Produktsicherheitsverordnung (GPSR)
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