Modern Portfolio Theory & Investment

Modern Portfolio Theory & Investment pdf epub mobi txt 电子书 下载 2026

出版者:Wiley
作者:Edwin J. Elton
出品人:
页数:0
译者:
出版时间:1998
价格:0
装帧:Paperback
isbn号码:9789971511876
丛书系列:
图书标签:
  • 投资组合理论
  • 现代投资组合理论
  • MPT
  • 投资学
  • 金融学
  • 资产配置
  • 风险管理
  • 投资策略
  • 金融工程
  • 投资组合优化
  • 投资
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具体描述

An update of a classic book in the field, Modern Portfolio Theory examines the characteristics and analysis of individual securities as well as the theory and practice of optimally combining securities into portfolios. It stresses the economic intuition behind the subject matter while presenting advanced concepts of investment analysis and portfolio management. Readers will also discover the strengths and weaknesses of modern portfolio theory as well as the latest breakthroughs.

《理性投资:构建稳健财富蓝图》 在波诡云谲的金融市场中,普通投资者常常感到迷茫与无助。市场波动、信息泛滥、情绪左右,这些都可能导致错误的投资决策,最终侵蚀辛苦积累的财富。而一本能够引领投资者穿越迷雾,掌握科学投资方法的书籍,其价值不言而喻。 《理性投资:构建稳健财富蓝图》并非一本枯燥的学术论著,也不是一本充斥着华丽辞藻但缺乏实操指导的空洞之作。相反,它是一本旨在赋能每一位投资者,使其能够以清晰的头脑、科学的工具和审慎的态度,在不确定的市场中构建属于自己的稳健财富蓝图的指南。 本书将带您踏上一段由浅入深、循序渐进的投资探索之旅。我们首先会从最根本的问题出发:为什么需要理性投资? 在这个章节,您将深入理解投资的本质,认识到风险与收益并存的客观规律,以及情绪化交易可能带来的灾难性后果。我们将剖析常见的投资误区,帮助您摆脱羊群效应、过度自信等心理陷阱,建立起独立思考和理性判断的投资根基。 接着,我们将聚焦于构建多元化投资组合的核心理念。您将学习到,仅仅将所有资金投入单一资产或少数几只股票,是多么危险的一种行为。本书将详细阐释“不要把鸡蛋放在同一个篮子里”这一古老智慧在现代投资中的深刻应用,并通过生动的事例和易于理解的模型,展示如何通过科学的资产配置,在降低整体投资风险的同时,力求获得优化的收益。我们将探讨不同资产类别(如股票、债券、商品、房地产等)的特性,以及它们在不同市场环境下的表现,为您的资产配置提供坚实的基础。 本书的另一大亮点在于,将为您揭示衡量和管理投资风险的实用方法。风险并非洪水猛兽,而是需要被理解、被评估、被有效管理的。您将接触到一系列衡量风险的指标,并学习如何根据自身的风险承受能力和投资目标,对风险进行量化分析。更重要的是,本书将提供一系列切实可行的风险管理策略,包括止损、仓位管理、对冲工具的初步认识等,帮助您在市场波动时保持冷静,并最大限度地减少潜在损失。 在掌握了风险管理的基本功之后,我们将进入如何选择优质投资标的的实战环节。市面上的投资产品琳琅满目,如何才能从中挑选出真正具有长期投资价值的资产?本书将引导您学习分析公司基本面的重要指标,理解估值的重要性,并掌握识别潜在增长机会的技巧。我们将不会推荐具体的股票或基金,而是为您提供一套系统性的分析框架和思维方式,让您能够独立地进行价值判断,做出明智的投资决策。 此外,本书还将深入探讨长期投资与价值投资的哲学。在信息爆炸、短期波动剧烈的今天,许多投资者容易陷入追涨杀跌的怪圈。本书将坚定地告诉您,真正的财富增值往往来自于耐心和时间的积累。我们将分享巴菲特等投资大师的经典投资理念,强调理解企业价值、分享企业成长的重要性,并为您描绘一幅“与伟大企业一同成长”的长期投资蓝图。 本书的行文风格力求通俗易懂,避免使用过于专业的术语,并辅以丰富的图表和案例分析,让复杂的投资概念变得触手可及。无论是初涉投资的新手,还是希望提升投资技能的在读投资者,都能从中受益匪浅。 《理性投资:构建稳健财富蓝图》的终极目标是帮助您建立一套独立、科学、审慎的投资体系。这套体系将帮助您: 清晰认识投资风险与收益的内在联系。 掌握构建多元化投资组合的科学方法。 学会量化和管理投资风险,规避不必要的损失。 培养识别优质投资标的的能力,而非盲目跟风。 树立长线投资的耐心和信心,实现财富的持续增长。 投资不仅仅是关于金钱,更是关于对未来的规划,对风险的掌控,以及对自身认知的深化。翻开《理性投资:构建稳健财富蓝图》,开启您通往财务自由的理性投资之路。

作者简介

Edwin J. Elton is Nomura Professor of Finance at the Stern School of Business of New York University. He has authored or coauthored eight books and ore than 110 articles. These articles have appeared in journals such as The Journal of Finance, The Review of Financial Studies, review of Economics and Statistics, Management Science, Journal of Financial Economics, Journal of business, Oxford Economic Papers, and Journal of Financial and Quantitative Analysis. He has been coeditor of the Journal of Finance. Professor Elton has been a member of the board of directors of the American Finance Association and an Associate Editor of Management Science. Professor Elton has served as a consultant for many major financial institutions. A compendium of articles by Professor Elton and Professor Gruber has recently been published in two volumes by MIT press. Professor Elton is a past president of the American Finance Association, a fellow of that association, a recipient of distinguished research award by the Eastern Finance Association and a recipient of the James Vertin award from the Financial Analyst Association.

Martin J. Gruber is Nomura Professor of Finance and past chairman of the Finance Department at the Stern School of Business of New York University. He is a fellow of the American Finance Association. He has published nine books and more than 100 journal articles in journals such as The Journal of Finance, The Review of Financial Studies, Review of Economics and Statistics, Journal of Financial Economics, Journal of Business, Management Science, Journal of Financial and Quantitative Analysis, Operations Research, Oxford Economic Papers, and The Journal of Portfolio Management. He has been coeditor of the Journal of Finance. He has been president of the American Finance Association, a director of the European Finance Association, a director of the American Finance Association, and a director of both the Computer Applications Committee and the Investment Technology Symposium of the New York Society of Security Analyst. He was formerly Finance Department editor for Management Science. Professor Gruber has consulted in the areas of investment analysis ad portfolio management with many major financial institutions. He is currently a director of the Daiwa closed– end funds. He is formerly a Director of TIAA,Director and Chairman of CREF, Director of DWS Mutual Funds, and Director of the SG Cowen Mutual Funds.

Stephen J. Brown is David S. Loeb Professor of Finance and Coordinator of undergraduate finance at the Leonard N. Stern School of Business, New York University. He has served as president of the Western Finance Association and on the board of directors of the American Finance Association, was a founding editor of The Review of Financial Studies, is a managing editor of the Journal of Financial and Quantitative Analysis, and has served on the editorial boards of The Journal of Finance, Pacific–Basin Finance Journal, and other journals. He has published numerous articles and four books on finance and economics–related areas. He has served as an expert witness for the U.S. Department of Justice and has testified on his research before a Full Committee Hearing of the U.S. Congress House Financial Services Committee in March 2007.

William N. Goetzmann is Edwin J. Beinecke Professor of Finance and Management Studies and director of the International center for Finance at the Yale School of Management. He is currently president of the Western Finance Association and has served on the board of directors of the American Finance Association, His published research topics include global investing, forecasting stock markets, selecting mutual fund manager, housing as investment, and the risk and return of art Professor Goetzmann has a background in arts and media management. As a documentary filmmaker, he has written and coproduced programs for Nova and the American Masters series, including a profile of the artist Thomas Eakins. A former director of Denver′s Museum of Western Art, Professor Goetzmann coauthored the award–winning book The West of the Imagination.

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