Martin leibowitz (127 Ergebnisse)

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Bold Thinking on Investment Management: The FAJ 60th Anniversary Anthology
Keith Ambachtsheer; Robert D. Arnott; Clifford S. Asness; Peter L. Bernstein; John C. Bogle; Thomas A. Bowman; Gary P. Brinson; Abby Joseph Cohen; Aswath Damodaran; Jeffrey J. Diermeier; Charles D. Ellis; Richard M. Ennis; Don Ezra; Frank J. Fabozzi; David I. Fisher; Martin S. Fridson; Clive W.J. Granger; Richard C. Grinold; William H. Gross; J. Parker Hall III; Campbell Harvey; L. Randolph Hood; Marianne M. Jennings; Irving Kahn; Henry Kaufman; Dean LeBaron; Martin L. Leibowitz; Harry M. Markowitz; Paul A. McCulley; Edmund A. Mennis; John J. Nagorniak; Jeremy J. Siegel; Meir Statman; Jack L. Treynor
- Hardcover
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Zustand: very_good. Book is in very good condition and may include minimal underlining highlighting. The book can also include "From the library of" labels. May not contain miscellaneous items toys, dvds, etc. . We offer 100% money back guarantee and 24 7 customer service.

Bold Thinking on Investment Management: The FAJ 60th Anniversary Anthology
Keith Ambachtsheer; Robert D. Arnott; Clifford S. Asness; Peter L. Bernstein; John C. Bogle; Thomas A. Bowman; Gary P. Brinson; Abby Joseph Cohen; Aswath Damodaran; Jeffrey J. Diermeier; Charles D. Ellis; Richard M. Ennis; Don Ezra; Frank J. Fabozzi; David I. Fisher; Martin S. Fridson; Clive W.J. Granger; Richard C. Grinold; William H. Gross; J. Parker Hall III; Campbell Harvey; L. Randolph Hood; Marianne M. Jennings; Irving Kahn; Henry Kaufman; Dean LeBaron; Martin L. Leibowitz; Harry M. Markowitz; Paul A. McCulley; Edmund A. Mennis; John J. Nagorniak; Jeremy J. Siegel; Meir Statman; Jack L. Treynor
- Softcover
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- Softcover
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Paperback. Zustand: Very Good. Rethinking the Equity Risk Premium This book is in very good condition and will be shipped within 24 hours of ordering. The cover may have some limited signs of wear but the pages are clean, intact and the spine remains undamaged. This book has clearly been well maintained and looked after thus far. Money back guarantee if you are not satisfied. See all our books here, order more than 1 book and get discounted shipping.…

Bold Thinking on Investment Management: The FAJ 60th Anniversary Anthology
Keith Ambachtsheer; Robert D. Arnott; Clifford S. Asness; Peter L. Bernstein; John C. Bogle; Thomas A. Bowman; Gary P. Brinson; Abby Joseph Cohen; Aswath Damodaran; Jeffrey J. Diermeier; Charles D. Ellis; Richard M. Ennis; Don Ezra; Frank J. Fabozzi; David I. Fisher; Martin S. Fridson; Clive W.J. Granger; Richard C. Grinold; William H. Gross; J. Parker Hall III; Campbell Harvey; L. Randolph Hood; Marianne M. Jennings; Irving Kahn; Henry Kaufman; Dean LeBaron; Martin L. Leibowitz; Harry M. Markowitz; Paul A. McCulley; Edmund A. Mennis; John J. Nagorniak; Jeremy J. Siegel; Meir Statman; Jack L. Treynor
- Hardcover
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Bold Thinking on Investment Management: The FAJ 60th Anniversary Anthology
Keith Ambachtsheer; Robert D. Arnott; Clifford S. Asness; Peter L. Bernstein; John C. Bogle; Thomas A. Bowman; Gary P. Brinson; Abby Joseph Cohen; Aswath Damodaran; Jeffrey J. Diermeier; Charles D. Ellis; Richard M. Ennis; Don Ezra; Frank J. Fabozzi; David I. Fisher; Martin S. Fridson; Clive W.J. Granger; Richard C. Grinold; William H. Gross; J. Parker Hall III; Campbell Harvey; L. Randolph Hood; Marianne M. Jennings; Irving Kahn; Henry Kaufman; Dean LeBaron; Martin L. Leibowitz; Harry M. Markowitz; Paul A. McCulley; Edmund A. Mennis; John J. Nagorniak; Jeremy J. Siegel; Meir Statman; Jack L. Treynor
- Hardcover
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- Hardcover
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Hardback. Zustand: Good. First published in 1972, and then updated in 2004, Inside the Yield Book is the widely-read classic volume that led to the modern science of bond analytics. With the global nature of today's investment management process and the increasing complexity of financial instruments, we may seem far removed from the bond markets that authors Martin Leibowitz and Sidney Homer first wrote about over forty years ago, but the ability of this new Third Edition to explain complex relationships in the debt markets in a logical and often intuitive way remains unchanged. Divided into three comprehensive parts, this new edition is filled with what many would consider some of the best information regarding bonds you'll ever find. It contains the complete original edition of Leibowitz and Homer's classic, which basically created the science of bond analysis through clear explanations of bond portfolio management and the math behind bond yields and prices. It also includes the 2004 updates to the classic, which developed a horizon-based approach to present-value and showed how these concepts could be generalized beyond bonds to become useful in the analysis of virtually any investment opportunity, including equities. While the earlier editions of this reliable guide focused on a single bond that was continuously held either to maturity or to some specified horizon, many bond investments take the form of portfolios composed of multiple bond holdings and a continually changing bond composition. A completely new part of this Third Edition contains material coauthored by Martin Leibowitz, Anthony Bova, and Stanley Kogelman that reflects this reality. It provides valuable insights into the often-surprising return behavior exhibited by Duration Targeting (DT) portfolios--the most common form of bond management--over multi-year horizons. Engaging and informative, this new part addresses some practical concerns in this arena as it: develops a trendline-based zero coupon bond model of Duration Targeting; explores the relationship between yield volatility and return volatility; moves beyond theory and simulated returns to the recorded returns of actual Duration Targeted portfolios; analyzes the so-called laddered portfolios that commonly are used by individual investors; and much more. Whether you're an institutional or individual investor, trader, or analyst, if you're looking to enhance your bond analysis skills, this authoritative work covers essential concepts and contains illustrative examples that will allow you to excel in today's challenging bond markets.…
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- Erstausgabe
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Paperback. Zustand: Like New. First Edition. First Edition, First Printing. Not price-clipped. Published by Health Advocates Publishing, 2009. Octavo. Paperback. Book is like new shelf/edgewear.100% positive feedback. 30 day money back guarantee. NEXT DAY SHIPPING! Excellent customer service. Please email with any questions. All books packed carefully and ship with free delivery confirmation/tracking. All books come with free bookmarks. Ships from Sag Harbor, New York.…

Bold Thinking on Investment Management: The FAJ 60th Anniversary Anthology
Keith Ambachtsheer; Robert D. Arnott; Clifford S. Asness; Peter L. Bernstein; John C. Bogle; Thomas A. Bowman; Gary P. Brinson; Abby Joseph Cohen; Aswath Damodaran; Jeffrey J. Diermeier; Charles D. Ellis; Richard M. Ennis; Don Ezra; Frank J. Fabozzi; David I. Fisher; Martin S. Fridson; Clive W.J. Granger; Richard C. Grinold; William H. Gross; J. Parker Hall III; Campbell Harvey; L. Randolph Hood; Marianne M. Jennings; Irving Kahn; Henry Kaufman; Dean LeBaron; Martin L. Leibowitz; Harry M. Markowitz; Paul A. McCulley; Edmund A. Mennis; John J. Nagorniak; Jeremy J. Siegel; Meir Statman; Jack L. Treynor
- Hardcover
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hardcover. Zustand: Good. Our good condition books are generally good for reading but not for gifting or collecting. They could have imperfections such as creasing, fanning, inscriptions, margin notes, yellowing, staining on edge or cover or pages, bumps, scuffs, etc etc (sometimes multiple of these). It's a wide category that encompasses anything that isn't almost-new down to anything that is slightly better than poor. We would NOT recommend gifting Good books - these should be considered reading copies. Our books are dispatched from a Yorkshire former cotton mill. We list via barcode/ISBN so please note that the images are stock images and may not be the exact copy you receive, furthermore the details about edition and year might not be accurate as many publishers reuse the same ISBN for multiple editions and as we simply scan a barcode or enter an ISBN we do not check the validity of the edition data when listing. If you're looking for an exact edition please don't order (at least not without checking with us first, although we don't always have time to check). We aim to dispatch prompty, the service used will depend on order value and book size. We can ship to most countries, see our shipping policies. Payment is via Abe only.…

Sprache: Englisch
Verlag: Research Foundation of CFA Institute 23/12/2011, 2011
- Softcover
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Paperback. Zustand: Very Good. Shipped within 24 hours from our UK warehouse. Clean, undamaged book with no damage to pages and minimal wear to the cover. Spine still tight, in very good condition. Remember if you are not happy, you are covered by our 100% money back guarantee.

- Hardcover
Anbieter: World of Books Inc, Montgomery, IL, USAWorld of Books Inc
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Hardback. Zustand: Good. First published in 1972, and then updated in 2004, Inside the Yield Book is the widely-read classic volume that led to the modern science of bond analytics. With the global nature of today's investment management process and the increasing complexity of financial instruments, we may seem far removed from the bond markets that authors Martin Leibowitz and Sidney Homer first wrote about over forty years ago, but the ability of this new Third Edition to explain complex relationships in the debt markets in a logical and often intuitive way remains unchanged. Divided into three comprehensive parts, this new edition is filled with what many would consider some of the best information regarding bonds you'll ever find. It contains the complete original edition of Leibowitz and Homer's classic, which basically created the science of bond analysis through clear explanations of bond portfolio management and the math behind bond yields and prices. It also includes the 2004 updates to the classic, which developed a horizon-based approach to present-value and showed how these concepts could be generalized beyond bonds to become useful in the analysis of virtually any investment opportunity, including equities. While the earlier editions of this reliable guide focused on a single bond that was continuously held either to maturity or to some specified horizon, many bond investments take the form of portfolios composed of multiple bond holdings and a continually changing bond composition. A completely new part of this Third Edition contains material coauthored by Martin Leibowitz, Anthony Bova, and Stanley Kogelman that reflects this reality. It provides valuable insights into the often-surprising return behavior exhibited by Duration Targeting (DT) portfolios--the most common form of bond management--over multi-year horizons. Engaging and informative, this new part addresses some practical concerns in this arena as it: develops a trendline-based zero coupon bond model of Duration Targeting; explores the relationship between yield volatility and return volatility; moves beyond theory and simulated returns to the recorded returns of actual Duration Targeted portfolios; analyzes the so-called laddered portfolios that commonly are used by individual investors; and much more. Whether you're an institutional or individual investor, trader, or analyst, if you're looking to enhance your bond analysis skills, this authoritative work covers essential concepts and contains illustrative examples that will allow you to excel in today's challenging bond markets.…
Verlag: Health Advocate Publishing, Inc.
- Signiert
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In den WarenkorbZustand: Very Good. Signed Copy . Signed by Rosen on half title page.
Weitere Bilder- Hardcover
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Hardcover. Zustand: Good. 2nd Edition. Binding solid. Pages crisp and clean. Dust cover in tact with some wear.

- Softcover
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Zustand: Good. This is an ex-library book and may have the usual library/used-book markings inside.This book has soft covers. In good all round condition. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,350grams, ISBN:9781934667446.

- Hardcover
Anbieter: World of Books (was SecondSale), Montgomery, IL, USAWorld of Books (was SecondSale)
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Hardback. Zustand: Very Good. A completely updated edition of the guide to modern bond analysis First published in 1972, Inside the Yield Book revolutionized the fixed-income industry and forever altered the way investors looked at bonds. Over forty years later, it remains a standard primer and reference among market professionals. Generations of practitioners, investors, and students have relied on its lucid explanations, and readers needing to delve more deeply have found its explication of key mathematical relationships to be unmatched in clarity and ease of application. This edition updates the widely respected classic with new material from Martin L. Leibowitz. Along the way, it skillfully explains and makes sense of essential mathematical relationships that are basic to an understanding of bonds, annuities, and loans--in fact, any securities or investments that involve compound interest and the determination of present value for future cash flows. The book also includes a new foreword. Contains information that is more instructive, important, and useful than ever for mastering the crucial concepts of time, value, and return Combines the clear fixed-income insights found in the original edition with completely new knowledge to help you navigate today's dynamic market Includes over one hundred pages of new material on the role of bonds within the total portfolio In an era of calculators and computers, some of the important underlying principles covered here are not always grasped thoroughly by market participants. Investors, traders, and analysts who want to sharpen their ability to recall and apply these fundamentals will find Inside the Yield Book the perfect resource.…