The Management of Investment Decisions
Title | The Management of Investment Decisions PDF eBook |
Author | Donald Trone |
Publisher | McGraw Hill Professional |
Pages | 434 |
Release | 1996 |
Genre | Business & Economics |
ISBN | 9780786303922 |
The Management of Investment Decisions seeks to fulfill the requests of numerous professional advisers and investors for a practical manual that lays out the step-by-step process for the proper management of investment decisions. Investment decisions need thoughtful management, no less than other critical areas within an investor's business, family, or charitable interests. The Management of Investment Decisions provides you with clear guidance to practical, readily identifiable, and easily adaptable steps to a comprehensive investment management process.
Investment Decisions and the Logic of Valuation
Title | Investment Decisions and the Logic of Valuation PDF eBook |
Author | Carlo Alberto Magni |
Publisher | Springer Nature |
Pages | 751 |
Release | 2020-02-11 |
Genre | Business & Economics |
ISBN | 3030276627 |
This book presents a new approach to the valuation of capital asset investments and investment decision-making. Starting from simple premises and working logically through three basic elements (capital, income, and cash flow), it guides readers on an interdisciplinary journey through the subtleties of accounting and finance, explaining how to correctly measure a project’s economic profitability and efficiency, how to assess the impact of investment policy and financing policy on shareholder value creation, and how to design reliable, transparent, and logically consistent financial models. The book adopts an innovative pedagogical approach, based on a newly developed accounting-and-finance-engineering system, to help readers gain a deeper understanding of the accounting and financial magnitudes, learn about new analytical tools, and develop the necessary skills to practically implement them. This diverse approach to capital budgeting allows a sophisticated economic analysis in both absolute terms (values) and relative terms (rates of return), and is applicable to a wide range of economic entities, including real assets and financial assets, engineering designs and manufacturing schemes, corporate-financed and project-financed transactions, privately-owned projects and public investments, individual projects and firms. As such, this book is a valuable resource for a broad audience, including scholars and researchers, industry practitioners, executives, and managers, as well as students of corporate finance, managerial finance, engineering economics, financial management, management accounting, operations research, and financial mathematics. It features more than 180 guided examples, 50 charts and figures and over 160 explanatory tables that help readers grasp the new concepts and tools. Each chapter starts with an abstract and a list of the skills readers can expect to gain, and concludes with a list of key points summarizing the content.
Corporate Finance and Investment
Title | Corporate Finance and Investment PDF eBook |
Author | Richard Pike |
Publisher | Pearson UK |
Pages | 1002 |
Release | 2018-08-14 |
Genre | Business & Economics |
ISBN | 1292208570 |
Taking an international perspective to corporate finance, the latest edition of Corporate Finance and Investment is a highly-regarded and established text for students who want to understand the principles of corporate finance and develop the key tools to apply it. The ninth edition has been revised to include topical issues in valuation, working capital, capital structure, the dividend decision, Islamic finance, risk and risk management, and behavioural finance. With its focus on strategic issues of finance in a business setting, this text uses the latest financial and accounting data, articles and research papers to effectively demonstrate how, and to what extent, the theory can be applied to practical issues in corporate finance.
Wealth Management
Title | Wealth Management PDF eBook |
Author | Dimitris N. Chorafas |
Publisher | Elsevier |
Pages | 391 |
Release | 2011-02-24 |
Genre | Business & Economics |
ISBN | 0080461646 |
Wealth Management has two themes: Private Banking and investment decisions regarding Structural Financial Products. Dr. Dimitris Chorafas examines in a rigorous way whether structured financial products are advisable investments for retail and institutional investors and, if yes, which risks they entail. As our society becomes increasingly affluent, and state-supported pension schemes find it difficult to survive, a growing number of high net-worth individuals, and families, have become retail investors – looking for ways and means to optimize wealth management, and Private Banking deals with these sorts of clients. Private banking also deals with clients that are institutional investors, such as pension funds, mutual funds, and insurance companies, as well as not-for-profits, foundations and companies explicitly set up for wealth management. Both institutional and retail investors are being offered by the banks they work with structured products. Typically, these are securities that provide them with a redemption amount, with may be either with full or partial capital protection, and some type of return. The book examines structured financial products, their polyvalent nature, and the results which could be expected from them. Return on structural instruments, which are essentially derivatives, is paid in function of a specific investment strategy on selected underlying asset(s). This essentially means on the performance of the underlyings, obtained by asset managers, which may be banks or hedge funds, through purchase or sale of embedded options. But there are risks. Both risk and return from structured products are related to three main issues: the volatility of future value of an underlying, the uncertainty of future events, and the exposure of the product. Every type of investment is subject to market forces, and the more leveraged a portfolio is, the greater will probably be both the assumed risk and the expected reward. The fact that structured financial products appeal, or at least are being marketed, to both retail investors and institutional investors makes the dual approach deliberately chosen in this book most advisable. This book addresses all these issues in a practical manner with numerous case studies and real-world examples drawn from the author's intensive research. - Because it is based on intensive research, the book is rich in practical examples and case studies - Addresses the growing trend towards the use of structured financial instruments in private banking - Thorough treatment of structured financial products that keeps maths to a minimum
Cost-Benefit Analysis for Investment Decisions
Title | Cost-Benefit Analysis for Investment Decisions PDF eBook |
Author | Chun-Yan Kuo |
Publisher | |
Pages | 599 |
Release | 2019-01-22 |
Genre | |
ISBN | 9781790667505 |
This is textbook for university students and a manual for professionals. It gives an in-depth treatment of the theory and application of Cost-Benefit Analysis, using an integrated approach where the financial, economic, stakeholder and risk analyses are carried out in a single integrated project model. Fully developed case examples are presented for both public and public private partnership investment expenditures.
What Investors Really Want: Know What Drives Investor Behavior and Make Smarter Financial Decisions
Title | What Investors Really Want: Know What Drives Investor Behavior and Make Smarter Financial Decisions PDF eBook |
Author | Meir Statman |
Publisher | McGraw Hill Professional |
Pages | 305 |
Release | 2010-11-19 |
Genre | Business & Economics |
ISBN | 0071741666 |
A pioneer in the field of behavioral finance presents an investment guide based on what really drives investors Perfectly timed to give readers a real edge for investing in post-crash markets Author is a leading authority on the theory and application of behavioral finance and a fixture in The Wall Street Journal and other leading media outlets Poised to become the definitive text on how investors and managers make financial decisions—and how these decisions are reflected in financial markets
Barron's Guide to Making Investment Decisions
Title | Barron's Guide to Making Investment Decisions PDF eBook |
Author | Douglas Sease |
Publisher | |
Pages | 366 |
Release | 1994 |
Genre | Business & Economics |
ISBN |
Guide to developing a lifetime investment program that minimizes risk and is easily modified to meet changes.