The Power of Modern Value Investing - Gary Smith, Margaret Smith

The Power of Modern Value Investing

Beyond Indexing, Algos, and Alpha
Buch | Hardcover
XXIII, 181 Seiten
2024 | 1st ed. 2023
Springer International Publishing (Verlag)
978-3-031-45899-6 (ISBN)
42,79 inkl. MwSt

The stock market is a wild and scary roller coaster ride that investors have tried to tame with superficially appealing but ultimately flawed strategies-technical analysis, modern portfolio theory, CAPM, factor models, and algos. Many have simply given up and settled for indexing. This book explains the fundamental flaws that make so many strategies hazardous to our wealth.

There is a better way-what the authors call Investing 6.0-that is simple enough for anyone to use. No fancy math, complicated computer algorithms, or long days are required. This book offers a strategy with a few key principles that all investors and the financial advisors and planners who serve them can use with ease

lt;p>Gary Smith is the Fletcher Jones Professor of Economics at Pomona College. He has written (or co-authored) more than 100 academic papers and 16 books, most recently, Distrust: Big Data, Data-Torturing, and the Assault on Science. His book, Standard Deviations: Flawed Assumptions, Tortured Data, and Other Ways to Lie With Statistics, was a London Times Book of the Week. The 9 Pitfalls of Data Science, coauthored with Jay Cordes, won the 2020 PROSE Award for Popular Science and Popular Mathematics.

 

Margaret Smith is a Certified Financial Planner, Certified Integral Coach, and an Accredited Enneagram professional. She earned a simultaneous BA/MA Summa Cum Laude from Yale as an economics major and a PhD in Business Economics from Harvard University. Her book, Money: From Fear to Love, is the first book relating the nine Enneagram personality types to money, and is the basis for workshops given around the world. Currently, she is a practicing Fee-Only Certified Financial Planner and Certified Coach.


Introduction.- 1. Investing 1.0 - Blind Faith and Speculation.- 2. Investing 2.0 - Intrinsic Value.- 3. Investing 3.0 - Measuring Risk.- 4. Investing 4.0 - Efficient Markets and Indexing.- 5. Investing 5.0 - Factor Models and Algorithms.- 6. Investing 6.0 - Real Value and Real Risk.- 7. A Case Study.- 8. The 9 Pitfalls of Investing.

Erscheinungsdatum
Zusatzinfo XXIII, 181 p. 83 illus., 5 illus. in color.
Verlagsort Cham
Sprache englisch
Maße 155 x 235 mm
Gewicht 469 g
Themenwelt Wirtschaft Betriebswirtschaft / Management Allgemeines / Lexika
Wirtschaft Betriebswirtschaft / Management Finanzierung
Wirtschaft Betriebswirtschaft / Management Unternehmensführung / Management
Schlagworte advising investors • Black-box Algorithms • factor models • intrinsic value • Investing • investment philosophies • Mean-Variance Analysis • Stock Prices • the capital asset pricing model (CAPM) • The capital asset pricing model (CAPM) • The Efficient Market Hypothesis • Value Investing
ISBN-10 3-031-45899-0 / 3031458990
ISBN-13 978-3-031-45899-6 / 9783031458996
Zustand Neuware
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