The Little Book That Still Saves Your Assets - Darst David M. | Libro John Wiley & Sons 12/2012 - HOEPLI.it


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darst david m. - the little book that still saves your assets

The Little Book that Still Saves Your Assets What The Rich Continue to Do to Stay Wealthy in Up and Down Markets




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Dettagli

Genere:Libro
Lingua: Inglese
Pubblicazione: 12/2012
Edizione: 2nd Edition





Note Editore

The first edition of this book was written primarily before the crash. The second edition will detail how Darst's particular kind of asset allocation helped his investors during that period.  In addition, a deeper discussion of downside and risk tolerance in the Riding Out Storms chapter, new self-tests at the end of the book (Determining Your Risk Tolerance) would be useful. And, finally, detailing how the asset allocation model has changed since 2008.  In all of these areas, the author will continue to include new insightful anecdotes like those that peppered the first edition .




Sommario

Protect assets during times of crisis with this new edition of the New York Times bestseller! When the first edition of this book appeared it was before the economic crash. This new edition shows how David Darst's particular kind of asset allocation helped his investors during that volatile period. It also contains a discussion of downside and risk tolerance and new self-tests for determining your risk tolerance. And, finally, it reveals how the asset allocation model has changed since 2008. In all of these areas, the author will continue to include new insightful anecdotes like those that peppered the first edition. Shows how to tap into the use of asset allocation strategies to protect your investments Offers updated information on downside and risk tolerance The next step resource from a managing director of Morgan Stanley and the bestselling author David Darst Includes a Foreword by Jim Cramer David Darst reveals how to use asset allocation to increase your portfolio that tap into the investment strategies of the wealthy.




Trama

Protect assets during times of crisis with this new edition of the New York Times bestseller!

When the first edition of this book appeared it was before the economic crash. This new edition shows how David Darst's particular kind of asset allocation helped his investors during that volatile period. It also contains a discussion of downside and risk tolerance and new self-tests for determining your risk tolerance. And, finally, it reveals how the asset allocation model has changed since 2008. In all of these areas, the author will continue to include new insightful anecdotes like those that peppered the first edition.
* Shows how to tap into the use of asset allocation strategies to protect your investments
* Offers updated information on downside and risk tolerance
* The next step resource from a managing director of Morgan Stanley and the bestselling author David Darst
* Includes a Foreword by Jim Cramer

David Darst reveals how to use asset allocation to increase your portfolio that tap into the investment strategies of the wealthy.







Altre Informazioni

ISBN:

9781118423523

Condizione: Nuovo
Collana: Little Books. Big Profits
Dimensioni: 184 x 22.7 x 133 mm Ø 294 gr
Formato: Copertina rigida
Pagine Arabe: 256






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