Investing in a Post-Enron World
Seiten
2003
McGraw-Hill Professional (Verlag)
978-0-07-140938-4 (ISBN)
McGraw-Hill Professional (Verlag)
978-0-07-140938-4 (ISBN)
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Meant for investors, the methods for minimizing risk and over-exposure offered in this book include: a quick course in investing and finance; guidelines for analyzing financial statements; rules for "Enron-proofing" a portfolio through diversification; techniques for valuing a company and its stock; and ways to manage downside risk.
This book presents asset-protecting strategies for the millions of investors spooked by the ongoing Enron debacle. The collapse of Enron - one of the most costly bankruptcy cases in history - has led millions of investors to question the safety of their portfolios and retirement plans. Investing in a Post-Enron World gives wary investors the tools they need to determine the safety of any investment and outlines a step-by-step program for ensuring that their portfolios are shielded from sudden disasters. The first Enron book specifically for investors, "Investing in a Post-Enron World" pulls no punches in telling investors what to buy and whom to trust, along with red flags to watch for. Its numerous methods for minimizing risk and over-exposure include: a quick course in investing and finance; guidelines for pulling the truth from financial statements; rules for "Enron-proofing" a portfolio through diversification; simple techniques for valuing a company and its stock; ways to manage downside risk; and how to become a "financial sleuth".
This book presents asset-protecting strategies for the millions of investors spooked by the ongoing Enron debacle. The collapse of Enron - one of the most costly bankruptcy cases in history - has led millions of investors to question the safety of their portfolios and retirement plans. Investing in a Post-Enron World gives wary investors the tools they need to determine the safety of any investment and outlines a step-by-step program for ensuring that their portfolios are shielded from sudden disasters. The first Enron book specifically for investors, "Investing in a Post-Enron World" pulls no punches in telling investors what to buy and whom to trust, along with red flags to watch for. Its numerous methods for minimizing risk and over-exposure include: a quick course in investing and finance; guidelines for pulling the truth from financial statements; rules for "Enron-proofing" a portfolio through diversification; simple techniques for valuing a company and its stock; ways to manage downside risk; and how to become a "financial sleuth".
Paul Jorion, Ph.D., has more than a decade of experience in derivatives trading, financial risk management, and deferred compensation. Dr. Jorion has been a professor at Cambridge University and Paris University and a regents' lecturer at the University of California, Irvine.
Erscheint lt. Verlag | 16.2.2003 |
---|---|
Zusatzinfo | 10 Illustrations, unspecified |
Sprache | englisch |
Maße | 150 x 224 mm |
Gewicht | 366 g |
Themenwelt | Sachbuch/Ratgeber ► Beruf / Finanzen / Recht / Wirtschaft ► Geld / Bank / Börse |
Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung | |
ISBN-10 | 0-07-140938-6 / 0071409386 |
ISBN-13 | 978-0-07-140938-4 / 9780071409384 |
Zustand | Neuware |
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