Sector and Global Investing: Risks, Returns, and Portfolio Diversification Benefits - Gulser Meric - Books - VDM Verlag Dr. Müller - 9783639345339 - May 4, 2011
In case cover and title do not match, the title is correct

Sector and Global Investing: Risks, Returns, and Portfolio Diversification Benefits

Gulser Meric

Price
Íkr 10,699
excl. VAT

Ordered from remote warehouse

Expected delivery Sep 10 - 23
Add to your iMusic wish list

Sector and Global Investing: Risks, Returns, and Portfolio Diversification Benefits

Portfolio diversification is an important subject for investors. Exchange-traded index funds make it easy for investors to achieve sector and global portfolio diversification. This book explains the risks, returns, and portfolio diversification benefits of sector and global investments. The book consists of six parts and nineteen chapters. In the introductory first chapter in Part I, the authors explain the basics of risk, return, and portfolio diversification. The three chapters in Part II explain the risks, returns, and portfolio diversification benefits of investing in sector index funds. The three chapters in Part III explain the risks, returns, and portfolio diversification benefits of investing in global index funds. The five chapters in Part IV provide empirical evidence for the benefits of global portfolio diversification. The five chapters in Part V provide information regarding the characteristics of firms in different industries and countries. The two chapters in Part VI explain how global stock markets and individual company stocks are affected by stock market crashes.

Media Books     Paperback Book   (Book with soft cover and glued back)
Released May 4, 2011
ISBN13 9783639345339
Publishers VDM Verlag Dr. Müller
Pages 404
Dimensions 150 × 23 × 226 mm   ·   589 g
Language English