Language:
English
繁體中文
Help
Login
Back
Switch To:
Labeled
|
MARC Mode
|
ISBD
Invest Outside the Box = Understandi...
~
Dennison, Tariq.
Invest Outside the Box = Understanding Different Asset Classes and Strategies /
Record Type:
Language materials, printed : Monograph/item
Title/Author:
Invest Outside the Box/ by Tariq Dennison.
Reminder of title:
Understanding Different Asset Classes and Strategies /
Author:
Dennison, Tariq.
Description:
XXIII, 299 p. 131 illus.online resource. :
Contained By:
Springer Nature eBook
Subject:
Investment banking. -
Online resource:
https://doi.org/10.1007/978-981-13-0372-2
ISBN:
9789811303722
Invest Outside the Box = Understanding Different Asset Classes and Strategies /
Dennison, Tariq.
Invest Outside the Box
Understanding Different Asset Classes and Strategies /[electronic resource] :by Tariq Dennison. - 1st ed. 2018. - XXIII, 299 p. 131 illus.online resource.
1. Cash, bank deposits, and interest rates -- 2. Bonds, Fixed Income and Money Markets -- 3. Real Estate and Property -- 4. Equities and Stock Markets -- 5. Currencies and Foreign Exchange Markets -- 6. Alternative assets from gold, commodities, art, fine wine, and other collectibles to private equity and hedge funds -- 7. Diversification and Portfolio Construction: Maximizing Return and Minimizing Risk -- 8. Indexes, Benchmarks, Mutual Funds and ETFs -- 9. Blockchain and Cryptocurrencies -- 10. International investing, and the importance of breaking the country box -- 11. Conclusion.
“I give this book to my sales, trading, and legal teams as a great foundation to build market and product knowledge” –Bill Bamber, Managing Director, Structured Investment Products, Canadian Imperial Bank of Commerce (CIBC) “An excellent logical and explanatory guide to the assets and strategies available to investors globally” –Emanuel Derman, Columbia University This book is a practical and concise guide to major asset classes, investment strategies, and foreign markets. For investors familiar with one “box” of investments, this book serves as a non-technical introduction to other “boxes” worth diversifying into, such as bonds, real estate, private equity, cryptocurrencies, and Chinese A-shares. Readers with no prior finance background will find this book an accessible entry point to investing. Written by a practitioner, this volume can serve as course material for introductory investing classes or as an on-the-job guidebook for professionals and practicing investors. Tariq Dennison is a Hong Kong based fund manager and pension advisor investing retirement accounts across global stock, bond, and alternatives markets. An American raised in Europe and long resident in Asia, Tariq has a lifelong natural interest in interest rates, foreign currencies, and frontier and out-of-favor markets. He has worked at Accenture, Commerzbank, Bear Stearns, J.P. Morgan, CIBC, and Société Générale in San Francisco, New York, Toronto, London and Hong Kong, before starting GFM Asset Management in 2014. Tariq teaches fixed income and alternative investments at ESSEC Business School in Singapore, CFA Singapore, and the Hong Kong Society of Financial Analysts, and holds a Bachelor’s degree from Marquette University and a Master’s in Financial Engineering from the University of California at Berkeley’s Haas School of Business.
ISBN: 9789811303722
Standard No.: 10.1007/978-981-13-0372-2doiSubjects--Topical Terms:
596537
Investment banking.
LC Class. No.: HG4501-6051
Dewey Class. No.: 332.6
Invest Outside the Box = Understanding Different Asset Classes and Strategies /
LDR
:03818nam a22003975i 4500
001
995525
003
DE-He213
005
20200630225203.0
007
cr nn 008mamaa
008
201225s2018 si | s |||| 0|eng d
020
$a
9789811303722
$9
978-981-13-0372-2
024
7
$a
10.1007/978-981-13-0372-2
$2
doi
035
$a
978-981-13-0372-2
050
4
$a
HG4501-6051
072
7
$a
KFFM
$2
bicssc
072
7
$a
BUS036000
$2
bisacsh
072
7
$a
KFFM
$2
thema
082
0 4
$a
332.6
$2
23
100
1
$a
Dennison, Tariq.
$4
aut
$4
http://id.loc.gov/vocabulary/relators/aut
$3
1206084
245
1 0
$a
Invest Outside the Box
$h
[electronic resource] :
$b
Understanding Different Asset Classes and Strategies /
$c
by Tariq Dennison.
250
$a
1st ed. 2018.
264
1
$a
Singapore :
$b
Springer Singapore :
$b
Imprint: Palgrave Macmillan,
$c
2018.
300
$a
XXIII, 299 p. 131 illus.
$b
online resource.
336
$a
text
$b
txt
$2
rdacontent
337
$a
computer
$b
c
$2
rdamedia
338
$a
online resource
$b
cr
$2
rdacarrier
347
$a
text file
$b
PDF
$2
rda
505
0
$a
1. Cash, bank deposits, and interest rates -- 2. Bonds, Fixed Income and Money Markets -- 3. Real Estate and Property -- 4. Equities and Stock Markets -- 5. Currencies and Foreign Exchange Markets -- 6. Alternative assets from gold, commodities, art, fine wine, and other collectibles to private equity and hedge funds -- 7. Diversification and Portfolio Construction: Maximizing Return and Minimizing Risk -- 8. Indexes, Benchmarks, Mutual Funds and ETFs -- 9. Blockchain and Cryptocurrencies -- 10. International investing, and the importance of breaking the country box -- 11. Conclusion.
520
$a
“I give this book to my sales, trading, and legal teams as a great foundation to build market and product knowledge” –Bill Bamber, Managing Director, Structured Investment Products, Canadian Imperial Bank of Commerce (CIBC) “An excellent logical and explanatory guide to the assets and strategies available to investors globally” –Emanuel Derman, Columbia University This book is a practical and concise guide to major asset classes, investment strategies, and foreign markets. For investors familiar with one “box” of investments, this book serves as a non-technical introduction to other “boxes” worth diversifying into, such as bonds, real estate, private equity, cryptocurrencies, and Chinese A-shares. Readers with no prior finance background will find this book an accessible entry point to investing. Written by a practitioner, this volume can serve as course material for introductory investing classes or as an on-the-job guidebook for professionals and practicing investors. Tariq Dennison is a Hong Kong based fund manager and pension advisor investing retirement accounts across global stock, bond, and alternatives markets. An American raised in Europe and long resident in Asia, Tariq has a lifelong natural interest in interest rates, foreign currencies, and frontier and out-of-favor markets. He has worked at Accenture, Commerzbank, Bear Stearns, J.P. Morgan, CIBC, and Société Générale in San Francisco, New York, Toronto, London and Hong Kong, before starting GFM Asset Management in 2014. Tariq teaches fixed income and alternative investments at ESSEC Business School in Singapore, CFA Singapore, and the Hong Kong Society of Financial Analysts, and holds a Bachelor’s degree from Marquette University and a Master’s in Financial Engineering from the University of California at Berkeley’s Haas School of Business.
650
0
$a
Investment banking.
$3
596537
650
0
$a
Securities.
$3
558592
650
1 4
$a
Investments and Securities.
$3
1104945
710
2
$a
SpringerLink (Online service)
$3
593884
773
0
$t
Springer Nature eBook
776
0 8
$i
Printed edition:
$z
9789811303715
776
0 8
$i
Printed edition:
$z
9789811303739
776
0 8
$i
Printed edition:
$z
9789811343995
856
4 0
$u
https://doi.org/10.1007/978-981-13-0372-2
912
$a
ZDB-2-ECF
912
$a
ZDB-2-SXEF
950
$a
Economics and Finance (SpringerNature-41170)
950
$a
Economics and Finance (R0) (SpringerNature-43720)
based on 0 review(s)
Multimedia
Reviews
Add a review
and share your thoughts with other readers
Export
pickup library
Processing
...
Change password
Login