Rentabilidad, riesgo, equilibrio y "performance" en el mercado de valores

Rentabilidad, riesgo, equilibrio y Author:
Publisher:
ISBN:
Category :
Languages : es
Pages : 498

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Rentabilidad, riesgo, equilibrio y "performance" en el mercado de valores

Rentabilidad, riesgo, equilibrio y Author:
Publisher:
ISBN:
Category :
Languages : es
Pages : 498

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Book Description


Entender el mercado de valores: Manual completo para principiantes

Entender el mercado de valores: Manual completo para principiantes PDF Author: Juan Herrera
Publisher: BoD – Books on Demand
ISBN: 3758375398
Category : Business & Economics
Languages : es
Pages : 316

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Book Description
Este libro es su guía indispensable al fascinante mundo de los mercados financieros. Este completo manual desmitifica las complejidades del mercado bursátil y le ofrece todo lo que necesita saber para iniciarse en el trading con confianza y conocimiento de causa. Desde los fundamentos del mercado de valores, pasando por los principales instrumentos y estrategias de negociación, hasta temas avanzados como los mercados globales y la gestión del riesgo, este libro abarca todos los temas necesarios para proporcionarle una base sólida para su carrera en el mundo del trading. Con explicaciones claras, este libro se convertirá en su compañero de confianza en el camino para convertirse en un operador bursátil de éxito. Tanto si desea invertir en acciones, bonos, ETFs o derivados, este manual le preparará para las numerosas oportunidades y retos de la negociación bursátil. Aprenda a analizar las tendencias del mercado, a diversificar las carteras y a evitar las trampas psicológicas para tomar decisiones informadas y rentables. Dé el primer paso hacia un futuro apasionante en el mercado de valores. Esto es más que un libro: es su guía personal en el mundo de la inversión, que le permitirá tomar las riendas de su futuro financiero. Sumérjase en el mundo de la bolsa y descubra las oportunidades que le esperan.

El pequeño libro de los altos rendimientos con bajo riesgo

El pequeño libro de los altos rendimientos con bajo riesgo PDF Author: Pim Van Vliet
Publisher: Deusto
ISBN: 8423429172
Category : Business & Economics
Languages : es
Pages : 250

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Book Description
Durante generaciones, los inversores han creído que el riesgo y el rendimiento son inseparables. ¿Pero es esto realmente cierto? Pim van Vliet, fundador y gestor de fondos y experto en la inversión de bajo riesgo, combina las últimas investigaciones con datos bursátiles que datan de 1929 para demostrar que la inversión en acciones de bajo riesgo ofrece rendimientos sorprendentemente altos, significativamente mejores que los generados por las acciones de alto riesgo. Escrito junto con el especialista en inversiones Jan de Koning, este libro le ayudará a construir su propia cartera de bajo riesgo, seleccionar el fondo cotizado correcto o encontrar un fondo activo de bajo riesgo para sacar provecho. También es una historia personal, que vincula nuestra naturaleza humana y comportamiento a una fórmula de inversión prudente y exitosa.

Riesgo y rentabilidad en el mercado de valores español

Riesgo y rentabilidad en el mercado de valores español PDF Author: Enrique Sentana
Publisher:
ISBN: 9788477933748
Category :
Languages : es
Pages : 43

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Book Description


Rentabilidad y riesgo de las carteras de los fondos de inversión

Rentabilidad y riesgo de las carteras de los fondos de inversión PDF Author: Sílvia Bou Ysàs
Publisher:
ISBN:
Category :
Languages : es
Pages : 142

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Book Description


RETRACTED BOOK: 151 Trading Strategies

RETRACTED BOOK: 151 Trading Strategies PDF Author: Zura Kakushadze
Publisher: Springer
ISBN: 3030027929
Category : Business & Economics
Languages : en
Pages : 480

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Book Description
The book provides detailed descriptions, including more than 550 mathematical formulas, for more than 150 trading strategies across a host of asset classes and trading styles. These include stocks, options, fixed income, futures, ETFs, indexes, commodities, foreign exchange, convertibles, structured assets, volatility, real estate, distressed assets, cash, cryptocurrencies, weather, energy, inflation, global macro, infrastructure, and tax arbitrage. Some strategies are based on machine learning algorithms such as artificial neural networks, Bayes, and k-nearest neighbors. The book also includes source code for illustrating out-of-sample backtesting, around 2,000 bibliographic references, and more than 900 glossary, acronym and math definitions. The presentation is intended to be descriptive and pedagogical and of particular interest to finance practitioners, traders, researchers, academics, and business school and finance program students.

Glosario Del Banco Mundial

Glosario Del Banco Mundial PDF Author: World Bank
Publisher: World Bank Publications
ISBN:
Category : Business & Economics
Languages : en
Pages : 468

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Book Description
This edition of the World Bank has been revised and expanded by the Terminology Unit in the Languages Services Division of the World Bank in collaboration with the English, Spanish, and French Translation Sections. The Glossary is intended to assist the Bank's translators and interpreters, other Bank staff using French and Spanish in their work, and free-lance translator's and interpreters employed by the Bank. For this reason, the Glossary contains not only financial and economic terminology and terms relating to the Bank's procedures and practices, but also terms that frequently occur in Bank documents, and others for which the Bank has a preferred equivalent. Although many of these terms, relating to such fields as agriculture, education, energy, housing, law, technology, and transportation, could be found in other sources, they have been assembled here for ease of reference. A list of acronyms occurring frequently in Bank texts (the terms to which they refer being found in the Glossary) and a list of international, regional, and national organizations will be found at the end of the Glossary.

An Opportunity for a Different Peru

An Opportunity for a Different Peru PDF Author: Marcelo Giugale
Publisher: World Bank Publications
ISBN: 082136863X
Category : Business & Economics
Languages : en
Pages : 860

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Book Description
For the first time in the republican history of Peru, the presidential transition takes place in democracy, social peace, fast economic growth and favorable world markets. In other words, there has never been a better chance to build a different Peru - a richer country, more equal and governable. There are multiple ways to achieve that goal. New reforms must stem from a widespread and participatory debate, one of a common vision conceived for and by Peruvians. This book aims at making a technical and independent contribution to such debate; it summarizes the knowledge available about the challenges to be faced by the new administration. The study does not recommend silver bullets, but suggests policy options. It is based on the analysis of the current reality and in six decades of relationships with Peru, in which the Bank has implemented more than 100 projects and prepared more than 500 technical reports covering the wide range of development topics. When necessary, the study provides lessons that the Bank has learned elsewhere. The study provides a conceptual framework to the analysis of the country's 34 economic sectors and the two historical perspectives behind them. In doing so, it offers a comprehensive reform agenda that sheds light on possible priorities and courses of action.

Panel Data Econometrics

Panel Data Econometrics PDF Author: Manuel Arellano
Publisher: Oxford University Press
ISBN: 0199245282
Category : Business & Economics
Languages : en
Pages : 244

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Book Description
Written by one of the world's leading experts on dynamic panel data reviews, this volume reviews most of the important topics in the subject. It deals with static models, dynamic models, discrete choice and related models.

Intermediate Financial Theory

Intermediate Financial Theory PDF Author: Jean-Pierre Danthine
Publisher: Elsevier
ISBN: 0080509029
Category : Business & Economics
Languages : en
Pages : 391

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Book Description
The second edition of this authoritative textbook continues the tradition of providing clear and concise descriptions of the new and classic concepts in financial theory. The authors keep the theory accessible by requiring very little mathematical background. First edition published by Prentice-Hall in 2001- ISBN 0130174467. The second edition includes new structure emphasizing the distinction between the equilibrium and the arbitrage perspectives on valuation and pricing, as well as a new chapter on asset management for the long term investor. "This book does admirably what it sets out to do - provide a bridge between MBA-level finance texts and PhD-level texts.... many books claim to require little prior mathematical training, but this one actually does so. This book may be a good one for Ph.D students outside finance who need some basic training in financial theory or for those looking for a more user-friendly introduction to advanced theory. The exercises are very good." --Ian Gow, Student, Graduate School of Business, Stanford University Completely updated edition of classic textbook that fills a gap between MBA level texts and PHD level texts Focuses on clear explanations of key concepts and requires limited mathematical prerequisites Updates includes new structure emphasizing the distinction between the equilibrium and the arbitrage perspectives on valuation and pricing, as well as a new chapter on asset management for the long term investor