Stocks for the Long Run, 4th Edition读书介绍
类别 | 页数 | 译者 | 网友评分 | 年代 | 出版社 |
---|---|---|---|---|---|
书籍 | 436页 | 7.8 | 2020 | McGraw-Hill Professional |
定价 | 出版日期 | 最近访问 | 访问指数 |
---|---|---|---|
GBP 21.99 | 2020-02-20 … | 2020-03-03 … | 7 |
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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 economy An extended chapter on indexing that includes fundamentally weighted indexes, which have historically offered better returns and lower volatility than their capitalization-weighted counterparts Insightful analysis on what moves the market and how little we know about the sources of big market changes A 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.
作者简介杰里米J.西格尔,一直担任宾夕法尼亚大学沃顿商学院金融学教授。他在麻省理工学院取得经济学博士学位,是研究证券投资的权威、美联储和华尔街优秀投资机构的顾问。同时,他也为《Kiplinger's》杂志写作专栏,并在《华尔街日报》、《巴伦周刊》、《金融时报》及其他国内外新闻媒体上发表多篇文章。
他的第一本著作《股市长线法宝》出版于1994年,具有重大影响力,被列为有史以来最好的十大投资著作之一,此后历经2次改版升级,并于2007年根据最新数据更新到第4版。十年磨一剑,他的第二本著作《投资者的未、来》出版于2005年,引起国内外的热切关注和研究。
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