Understanding Investments

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A01=Nikiforos T. Laopodis
Apt
Asset Allocation
asset allocation models
Asset Classes
assets
Author_Nikiforos T. Laopodis
behavioural finance
Bond Portfolio Managers
Call Option
Category=KCL
Category=KFFH
Category=KFFM
ciency
CME
CME Group
derivatives markets
disruptive technologies
effi
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
Excess Return
Federal Reserve
fixed income securities
global bond market
global financial markets
Hedge Funds
HPR.
IBM Stock
Index Fund
intermediaries
investment management
Investment Management Process
investment strategies
market
Market Portfolio
nance
nancial
NYSE Euronext
passive
Passive Investment Strategy
portfolio optimisation
Portfolio Risk
Portfolio's Standard Deviation
Portfolio’s Standard Deviation
Risk Averse Investor
Risk Free Asset
Risk Free Rate
risk return analysis
Riskier Assets
Risky Portfolio
rms
strategies
undergraduate finance course
Yield Curve

Product details

  • ISBN 9780367461904
  • Weight: 1240g
  • Dimensions: 174 x 246mm
  • Publication Date: 09 Jul 2020
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Paperback
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This revised and fully expanded edition of Understanding Investments continues to incorporate the elements of traditional textbooks on investments, but goes further in that the material is presented from an intuitive, practical point of view, and the supplementary material included in each chapter lends itself to both class discussion and further reading by students. It provides the essential tools to navigate complex, global financial markets and instruments including relevant (and classic) academic research and market perspectives.

The author has developed a number of key innovative features. One unique feature is its economic angle, whereby each chapter includes a section dedicated to the economic analysis of that chapter’s material. Additionally, all chapters contain sections on strategies that investors can apply in specific situations and the pros and cons of each are also discussed. The book provides further clarification of some of the concepts discussed in the previous edition, thereby offering a more detailed analysis and discussion, with more real-world examples. The author has added new, shorter text boxes, labeled "Market Flash" to highlight the use of, or changes in current practices in the field; updates on strategies as applied by professionals; provision of useful information for an investor; updates on regulations; and anything else that might be relevant in discussing and applying a concept. This second edition also includes new sections on core issues in the field of investments, such as alternative investments, disruptive technologies, and future trends in investment management.

This textbook is intended for undergraduate students majoring or minoring in finance and also for students in economics and related disciplines who wish to take an elective course in finance or investments.

Nikiforos T. Laopodis is a finance professor at the School of Business and Economics’ Finance Department at The American College of Greece. Dr Laopodis is widely published in the areas of finance and economics on topics such as investments, monetary and fiscal policies, and financial econometrics and in highly respected finance journals. Since 1995, he has been, and continues to be, a regular participant in the Eastern Finance Association, Financial Management Association (US and Int’l) and later in the European Financial Management Association.

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