Financial Economics Strategic Risk & Investment Management Under Cover
5 Angebote vergleichen

Bester Preis: 52,22 (vom 01.10.2017)
1
9783659824692 - Nikolaos Akkizidis: Financial Economics Strategic Risk & Investment Management Under Cover
Nikolaos Akkizidis

Financial Economics Strategic Risk & Investment Management Under Cover

Lieferung erfolgt aus/von: Deutschland DE NW

ISBN: 9783659824692 bzw. 3659824690, in Deutsch, neu.

Lieferung aus: Deutschland, Lieferzeit: 6 Tage.
This book investigates investment opportunities in Equities, Bonds, Innovations, Real Estate, Infrastructures and exams risk and crisis management strategies, by studying the global economic policy. In fact, since the 2008 financial crisis, government debt in most developed countries has skyrocketed to unprecedented levels. Policy makers to reduce it and prevent a global depression have chosen to implement a complicated mechanism, by transferring wealth from savers to the governments. It is called Financial Repression, where major Central Banks by using QE programs guarantee negative real interest rates to make debts more manageable. Then, in a climate of growth and controlled inflation, debts in the coming decades will evaporate. In this context, to ensure and increase returns on investments, the notion of risk is explored with its upside potential, thereafter, Derivative Strategies, the Real Options Approach and the Money Management calculations are designed. Systemic, Market, Credit and Operational Risks are thoroughly analysed, as they are the primary sources of uncertainty that can lead to a new Crisis, while the preparation for crisis management is being examined in detail.
2
9783659824692 - Nikolaos Akkizidis: Financial Economics Strategic Risk & Investment Management Under Cover - Risks, Behaviour, Crisis, Investment Opportunities & Operations arising from the Puzzling Financial Repression Policy
Nikolaos Akkizidis

Financial Economics Strategic Risk & Investment Management Under Cover - Risks, Behaviour, Crisis, Investment Opportunities & Operations arising from the Puzzling Financial Repression Policy

Lieferung erfolgt aus/von: Deutschland DE PB NW

ISBN: 9783659824692 bzw. 3659824690, in Deutsch, LAP Lambert Academic Publishing, Taschenbuch, neu.

Lieferung aus: Deutschland, Versandkostenfrei.
Financial Economics Strategic Risk & Investment Management Under Cover: This book investigates investment opportunities in Equities, Bonds, Innovations, Real Estate, Infrastructures and exams risk and crisis management strategies, by studying the global economic policy. In fact, since the 2008 financial crisis, government debt in most developed countries has skyrocketed to unprecedented levels. Policy makers to reduce it and prevent a global depression have chosen to implement a complicated mechanism, by transferring wealth from savers to the governments. It is called Financial Repression, where major Central Banks by using QE programs guarantee negative real interest rates to make debts more manageable. Then, in a climate of growth and controlled inflation, debts in the coming decades will evaporate. In this context, to ensure and increase returns on investments, the notion of risk is explored with its upside potential, thereafter, Derivative Strategies, the Real Options Approach and the Money Management calculations are designed. Systemic, Market, Credit and Operational Risks are thoroughly analysed, as they are the primary sources of uncertainty that can lead to a new Crisis, while the preparation for crisis management is being examined in detail. Englisch, Taschenbuch.
3
3659824690 - Nikolaos Akkizidis: Financial Economics Strategic Risk & Investment Management Under Cover
Nikolaos Akkizidis

Financial Economics Strategic Risk & Investment Management Under Cover

Lieferung erfolgt aus/von: Deutschland ~EN PB NW

ISBN: 3659824690 bzw. 9783659824692, vermutlich in Englisch, LAP LAMBERT Academic Publishing, Taschenbuch, neu.

55,99 + Versand: 7,50 = 63,49
unverbindlich
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
4
9783659824692 - Nikolaos Akkizidis: Financial Economics Strategic Risk & Investment Management Under Cover als von
Nikolaos Akkizidis

Financial Economics Strategic Risk & Investment Management Under Cover als von

Lieferung erfolgt aus/von: Deutschland DE HC NW

ISBN: 9783659824692 bzw. 3659824690, in Deutsch, LAP Lambert Academic Publishing, gebundenes Buch, neu.

Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
5
9783659824692 - Financial Economics Strategic Risk & Investment Management Under Cover als von Nikolaos Akkizidis

Financial Economics Strategic Risk & Investment Management Under Cover als von Nikolaos Akkizidis

Lieferung erfolgt aus/von: Deutschland DE HC NW

ISBN: 9783659824692 bzw. 3659824690, in Deutsch, gebundenes Buch, neu.

Lieferung aus: Deutschland, zzgl. Versandkosten.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
Lade…