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Title Summary of John C Bogle s The Little Book of Common Sense Investing by Swift Reads
Author Swift Reads
Publisher Swift Reads
Release Date 2019-07-09
Category Study Aids
Total Pages 30
ISBN 9203456XXXX
Language English, Spanish, and French
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Book Summary:

The Little Book of Common Sense Investing: The Only Way to Guarantee Your Fair Share of Stock Market Returns (2007) demonstrates why index funds, a type of mutual fund, should make up the majority of the average investment portfolio. Index funds closely match the performance of a given financial market by allowing investors to own a small portion of the entire market through a diversified portfolio that can include stocks and bonds... Purchase this in-depth summary to learn more.

Learn To Earn by Peter Lynch

Title Learn to Earn
Author Peter Lynch
Publisher Simon and Schuster
Release Date 2012-11-27
Category Business & Economics
Total Pages 272
ISBN 9781476712031
Language English, Spanish, and French
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Book Summary:

Mutual-fund superstar Peter Lynch and author John Rothchild explain the basic principles of the stock market and business in an investing guide that will enlighten and entertain anyone who is high-school age or older. Many investors, including some with substantial portfolios, have only the sketchiest idea of how the stock market works. The reason, say Lynch and Rothchild, is that the basics of investing—the fundamentals of our economic system and what they have to do with the stock market—aren’t taught in school. At a time when individuals have to make important decisions about saving for college and 401(k) retirement funds, this failure to provide a basic education in investing can have tragic consequences. For those who know what to look for, investment opportunities are everywhere. The average high-school student is familiar with Nike, Reebok, McDonald’s, the Gap, and the Body Shop. Nearly every teenager in America drinks Coke or Pepsi, but only a very few own shares in either company or even understand how to buy them. Every student studies American history, but few realize that our country was settled by European colonists financed by public companies in England and Holland—and the basic principles behind public companies haven’t changed in more than three hundred years. In Learn to Earn, Lynch and Rothchild explain in a style accessible to anyone who is high-school age or older how to read a stock table in the daily newspaper, how to understand a company annual report, and why everyone should pay attention to the stock market. They explain not only how to invest, but also how to think like an investor.

Epistemologies Of The South by Boaventura de Sousa Santos

Title Epistemologies of the South
Author Boaventura de Sousa Santos
Publisher Routledge
Release Date 2015-11-17
Category Political Science
Total Pages 284
ISBN 9781317260349
Language English, Spanish, and French
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Book Summary:

This book explores the concept of 'cognitive injustice': the failure to recognise the different ways of knowing by which people across the globe run their lives and provide meaning to their existence. Boaventura de Sousa Santos shows why global social justice is not possible without global cognitive justice. Santos argues that Western domination has profoundly marginalised knowledge and wisdom that had been in existence in the global South. She contends that today it is imperative to recover and valorize the epistemological diversity of the world. Epistemologies of the South outlines a new kind of bottom-up cosmopolitanism, in which conviviality, solidarity and life triumph against the logic of market-ridden greed and individualism.

The Physician S Guide To Investing by Robert M. Doroghazi

Title The Physician s Guide To Investing
Author Robert M. Doroghazi
Publisher Springer Science & Business Media
Release Date 2005
Category Business & Economics
Total Pages 228
ISBN 1588295699
Language English, Spanish, and French
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Book Summary:

In addition, the author offers sound advice on setting financial goals, drawing up appropriate documents, saving for retirement and a child's education, purchasing insurance, and minimizing fees. Dr. Doroghazi's advice is based on many years of personal financial management and investing that have allowed him to pay his own way through college and medical school, to own his own home and a vacation condominium free of debt, to fund his children's education, and to have accumulated sufficient assets to achieve financial security at an early age."--Jacket.

Title The Four Pillars of Investing Lessons for Building a Winning Portfolio
Author William J. Bernstein
Publisher McGraw Hill Professional
Release Date 2010-07-08
Category Business & Economics
Total Pages 336
ISBN 0071759174
Language English, Spanish, and French
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Book Summary:

The classic guide to constructing a solid portfolio—without a financial advisor! “With relatively little effort, you can design and assemble an investment portfolio that, because of its wide diversification and minimal expenses, will prove superior to the most professionally managed accounts. Great intelligence and good luck are not required.” William Bernstein’s commonsense approach to portfolio construction has served investors well during the past turbulent decade—and it’s what made The Four Pillars of Investing an instant classic when it was first published nearly a decade ago. This down-to-earth book lays out in easy-to-understand prose the four essential topics that every investor must master: the relationship of risk and reward, the history of the market, the psychology of the investor and the market, and the folly of taking financial advice from investment salespeople. Bernstein pulls back the curtain to reveal what really goes on in today’s financial industry as he outlines a simple program for building wealth while controlling risk. Straightforward in its presentation and generous in its real-life examples, The Four Pillars of Investing presents a no-nonsense discussion of: The art and science of mixing different asset classes into an effective blend The dangers of actively picking stocks, as opposed to investing in the whole market Behavioral finance and how state of mind can adversely affect decision making Reasons the mutual fund and brokerage industries, rather than your partners, are often your most direct competitors Strategies for managing all of your assets—savings, 401(k)s, home equity—as one portfolio Investing is not a destination. It is a journey, and along the way are stockbrokers, journalists, and mutual fund companies whose interests are diametrically opposed to yours. More relevant today than ever, The Four Pillars of Investing shows you how to determine your own financial direction and assemble an investment program with the sole goal of building long-term wealth for you and your family.

Title The Little Book of Behavioral Investing
Author James Montier
Publisher John Wiley & Sons
Release Date 2010-01-26
Category Business & Economics
Total Pages 236
ISBN 9780470686027
Language English, Spanish, and French
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Book Summary:

A detailed guide to overcoming the most frequently encountered psychological pitfalls of investing Bias, emotion, and overconfidence are just three of the many behavioral traits that can lead investors to lose money or achieve lower returns. Behavioral finance, which recognizes that there is a psychological element to all investor decision-making, can help you overcome this obstacle. In The Little Book of Behavioral Investing, expert James Montier takes you through some of the most important behavioral challenges faced by investors. Montier reveals the most common psychological barriers, clearly showing how emotion, overconfidence, and a multitude of other behavioral traits, can affect investment decision-making. Offers time-tested ways to identify and avoid the pitfalls of investor bias Author James Montier is one of the world's foremost behavioral analysts Discusses how to learn from our investment mistakes instead of repeating them Explores the behavioral principles that will allow you to maintain a successful investment portfolio Written in a straightforward and accessible style, The Little Book of Behavioral Investing will enable you to identify and eliminate behavioral traits that can hinder your investment endeavors and show you how to go about achieving superior returns in the process. Praise for The Little Book Of Behavioral Investing "The Little Book of Behavioral Investing is an important book for anyone who is interested in understanding the ways that human nature and financial markets interact." —Dan Ariely, James B. Duke Professor of Behavioral Economics, Duke University, and author of Predictably Irrational "In investing, success means¿being on the right side of most trades. No book provides a better starting point toward that goal than this one." —Bruce Greenwald, Robert Heilbrunn Professor of Finance and Asset Management, Columbia Business School "'Know thyself.' Overcoming human instinct is key to becoming a better investor.¿ You would be irrational if you did not read this book." —Edward Bonham-Carter, Chief Executive and Chief Investment Officer, Jupiter Asset Management "There is not an investor anywhere who wouldn't profit from reading this book." —Jeff Hochman, Director of Technical Strategy, Fidelity Investment Services Limited "James Montier gives us a very accessible version of why we as investors are so predictably irrational, and a guide to help us channel our 'Inner Spock' to make better investment decisions. Bravo!" —John Mauldin, President, Millennium Wave Investments

Supermoney by Adam Smith

Title Supermoney
Author Adam Smith
Publisher John Wiley & Sons
Release Date 2010-12-23
Category Business & Economics
Total Pages 298
ISBN 9781118040775
Language English, Spanish, and French
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Book Summary:

"Adam Smith continues to dazzle and sparkle! With the passage of time, Supermoney has, if anything, added to its power to inspire, arouse, provoke, motivate, inform, illuminate, entertain, and guide a whole new generation of readers, while marvelously reprising the global money show for earlier fans." -David M. Darst, author of The Art of Asset Allocation Managing Director and Chief Investment Strategist, Morgan Stanley Individual Investor Group "Nobody has written about the craft of money management with more insight, humor, and understanding than Adam Smith. Over the years, he has consistently separated wisdom from whimsy, brilliance from bluster, and character from chicanery." -Byron R. Wien, coauthor of Soros on Soros Chief Investment Strategist, Pequot Capital Management Supermoney may be even more relevant today than when it was first published nearly twenty-five years ago. Written in the bright and funny style that became Adam Smith's trademark, this book gives a view inside institutions, professionals, and the nature of markets that has rarely been shown before or since. "Adam Smith" was the first to introduce an obscure fund manager in Omaha, Nebraska, named Warren Buffett. In this new edition, Smith provides a fresh perspective in an updated Preface that contextualizes the applicability of the markets of the 1960s and 1970s to today's markets. Things change, but sometimes the more they change, the more they stay the same.

Investing For Dummies by Eric Tyson

Title Investing For Dummies
Author Eric Tyson
Publisher John Wiley & Sons
Release Date 2016-05-27
Category Business & Economics
Total Pages 432
ISBN 9781119296195
Language English, Spanish, and French
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Book Summary:

Investing For Dummies, 7th Edition (9781119293347) was previously published as Investing For Dummies, 7th Edition (9781118884928). While this version features a new Dummies cover and design, the content is the same as the prior release and should not be considered a new or updated product. Invest in your financial future with this valuable, popular, and easy-to-use guide This latest edition of Investing For Dummies is infused with new and updated material to help you ramp up your portfolio today! This includes time-tested advice, updates to investing recommendations, and strategies that reflect changing market conditions. Investing may be an intimidating prospect, but this resource will serve as your primer on all aspects of the topic, including how to develop and manage a portfolio, invest in stocks, bonds, mutual funds, and real estate, open a small business, and understand the critical tax implications of your investing decisions. Updates have been made to sections on investing resources, health insurance, retirement planning, and investment options, among others. Investing For Dummies, 7th Edition will help ease you into investing confidently. Dive into the new content to get sage advice regardless of where you are in your investment planning stage—beginning to develop plans, investing through a company 401(k), or seeking to shore up your nest egg prior to retirement, this book covers it all. Addresses all aspects of investing, including how to develop and manage a portfolio that includes various investment instruments Features expanded and updated coverage on investing resources, retirement planning, tax laws, investment options, and real estate Offers time-tested advice and strategies from Eric Tyson, a nationally-recognized personal finance counselor and bestselling author If you're looking to get sound guidance and trusted investment strategies, Investing For Dummies sets you up to take control of your investment options.

Behavioural Investing by James Montier

Title Behavioural Investing
Author James Montier
Publisher John Wiley & Sons
Release Date 2009-10-09
Category Business & Economics
Total Pages 728
ISBN 0470687797
Language English, Spanish, and French
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Book Summary:

Behavioural investing seeks to bridge the gap between psychology and investing. All too many investors are unaware of the mental pitfalls that await them. Even once we are aware of our biases, we must recognise that knowledge does not equal behaviour. The solution lies is designing and adopting an investment process that is at least partially robust to behavioural decision-making errors. Behavioural Investing: A Practitioner’s Guide to Applying Behavioural Finance explores the biases we face, the way in which they show up in the investment process, and urges readers to adopt an empirically based sceptical approach to investing. This book is unique in combining insights from the field of applied psychology with a through understanding of the investment problem. The content is practitioner focused throughout and will be essential reading for any investment professional looking to improve their investing behaviour to maximise returns. Key features include: The only book to cover the applications of behavioural finance An executive summary for every chapter with key points highlighted at the chapter start Information on the key behavioural biases of professional investors, including The seven sins of fund management, Investment myth busting, and The Tao of investing Practical examples showing how using a psychologically inspired model can improve on standard, common practice valuation tools Written by an internationally renowned expert in the field of behavioural finance

Marketing In Context by Chris Hackley

Title Marketing in Context
Author Chris Hackley
Publisher Springer
Release Date 2013-11-14
Category Business & Economics
Total Pages 230
ISBN 9781137297112
Language English, Spanish, and French
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Book Summary:

The best marketing doesn't just focus on the individual psychology of the consumer, it operates at a cultural level. It frames choices so that the consumer isn't aware their buying decisions are being influenced. Hackley shows how marketing must set the scene and identify the broader cultural context to successfully influence consumers.

Title Applied Equity Analysis and Portfolio Management Online Video Course
Author Robert A. Weigand
Publisher John Wiley & Sons
Release Date 2014-01-28
Category Business & Economics
Total Pages 336
ISBN 9781118630914
Language English, Spanish, and French
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Book Summary:

A "hands-on" guide to applied equity analysis and portfolio management From asset allocation to modeling the intrinsic value of a stock, Applied Equity Analysis and Portfolio Management + Online Video Course offers readers a solid foundation in the practice of fundamental analysis using the same tools and techniques as professional investors. Filled with real-world illustrations and hands-on applications, Professor Weigand's learning system takes a rigorous, empirical approach to topics such as analyzing the macro-finance environment, sector rotation, financial analysis and valuation, assessing a company's competitive position, and reporting the performance of a stock portfolio. Unlike typical books on this subject—which feature chapters to read and exercises to complete—this resource allows readers to actively participate in the learning experience by completing writing exercises and manipulating interactive spreadsheets that illustrate the principles being taught. The learning system also features instructional videos that demonstrate how to use the spreadsheet models and excerpts from the author's blog, which are used to depict additional examples of the analysis process. Along the way, it skillfully outlines an effective approach to creating and interpreting outputs typically associated with a top-down money management shop — including a macroeconomic forecasting newsletter, detailed stock research reports, and a portfolio performance attribution analysis. Covers topics including active and passive money management, fundamental analysis and portfolio attribution analysis Companion streaming videos show how to use free online data to create yourown analyses of key economic indicators, individual stocks, and stock portfolios A valuable resource for universities who have applied equity analysis and portfolio management courses Practical and up-to-date, the book is an excellent resource for those with a need for practical investment expertise.

A Decade Of Delusions by Frank K. Martin

Title A Decade of Delusions
Author Frank K. Martin
Publisher John Wiley & Sons
Release Date 2011-04-18
Category Business & Economics
Total Pages 480
ISBN 9781118078167
Language English, Spanish, and French
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Book Summary:

The proven strategies rational investors require for success in an irrational market When the dot-com and real estate bubbles of the 1990s and 2000s burst, few were spared the financial fallout. So, how did an investment advisory firm located in Elkhart, Indiana—one of the cities hit hardest by the economic downturns—not only survive, but also thrive during the highly contagious speculative pandemics. By remaining rational. In A Decade of Delusions: From Speculative Contagion to the Great Recession, Frank Martin founder of Elkhart, Indiana's Martin Capital Management offers a riveting and real-time insider's look at the two bubbles, and reflects on how investors can remain rational even when markets are anything but. Outlines strategies the average investor can use to wade through the endless news, information, and investment advice that bombards them Describes the epidemic of market speculation that gradually infects feverish investors Details how investors can spare themselves the emotional devastation and accompanying paralysis resulting from shocking financial losses Investors are still reeling from the instability in the market. A Decade of Delusions: From Speculative Contagion to the Great Recession provides the information investors need to achieve safety, liquidity, and yield.

The Great Mutual Fund Trap by Gregory Arthur Baer

Title The Great Mutual Fund Trap
Author Gregory Arthur Baer
Publisher Broadway
Release Date 2002
Category Business & Economics
Total Pages 335
ISBN 0767910710
Language English, Spanish, and French
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Book Summary:

Drawing on years of experience, two financial experts warn investors of the potential financial hazards of mutual funds, discussing the hidden costs of such funds, providing realistic insights into how such funds operate, and offering helpful advice on how to protect one's investments.

Title Judgment in Managerial Decision Making
Author Max H. Bazerman
Publisher Wiley
Release Date 2001-07-27
Category Business & Economics
Total Pages 192
ISBN 047139887X
Language English, Spanish, and French
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Book Summary:

Author is a leading theorist in negotiation and decision-making.

A Random Walk Down Wall Street by Burton Gordon Malkiel

Title A Random Walk Down Wall Street
Author Burton Gordon Malkiel
Publisher W. W. Norton
Release Date 1996
Category Investments
Total Pages 522
ISBN 0393038882
Language English, Spanish, and French
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Book Summary:

"In A Random Walk Down Wall Street you will discover how much fun it can be to beat the pros at their own game - and learn a user-friendly long-range investment strategy that really works. Skilled at puncturing financial bubbles and other Wall Street delusions, Malkiel explains why a broad portfolio of stocks selected by chance will perform as well as one carefully chosen by the experts." "With characteristic Malkiel clarity, a new chapter in this edition covers the dynamic, seductive, and potentially dangerous markets in futures and options. Taking a shrewd look at derivative-type securities - "pork-bellies in an Ivy League suit" - Malkiel shows how to maximize gains and minimize losses in this new era of high-risk investing." "Is there really a way of planning long-term investment? Carefully assessing the entire battery of financial instruments, Malkiel lucidly sets forth the factors that determine the returns that can be obtained from stocks and bonds. He outlines strategies that reduce and even eliminate the tax bite from investment earnings. And he enables the reader to project the future yields from an investment strategy suited to the mid-1990s and on into the twenty-first century."--BOOK JACKET.Title Summary field provided by Blackwell North America, Inc. All Rights Reserved

Title Saving Capitalism From Short Termism How to Build Long Term Value and Take Back Our Financial Future
Author Alfred Rappaport
Publisher McGraw Hill Professional
Release Date 2011-08-19
Category Business & Economics
Total Pages 240
ISBN 9780071736374
Language English, Spanish, and French
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Book Summary:

Conquering the obession with short-term profits is critical to the future of business, society, and capitalism itself—Alfred Rappaport presents a game plan every business leader should read “As Rappaport keeps on speaking out for the realities surrounding investment and speculation, our society will profit as it builds on his keen insights.” John C. Bogle, founder of The Vanguard Group (from the Foreword) About the Book: Alfred Rappaport, who first introduced the principles and practical application of "shareholder value" in his groundbreaking 1986 classic Creating Shareholder Value, reiterated the basic message in his 2006 Harvard Business Review article: Focusing on Wall Street quarterly earnings expectations rather than on creating long-term value is an invitation to disaster. Rappaport shows how deeply flawed short-term performance incentives for corporate and investment managers were an essential cause of the recent global financial crisis. In Saving Capitalism from Short-Termism, Rappaport examines the causes and consequences of “short-termism” and offers specific recommendations for how publicly traded companies and the investment management community can overcome it. Whether you're a corporate manager, money manager, public policymaker, business-school student, or simply concerned about your financial future, Saving Capitalism from Short-Termism provides valuable insights and practical ideas to change the course of your organization —and contribute to a healthier economy that benefits all.

Timing The Market by Deborah Weir

Title Timing the Market
Author Deborah Weir
Publisher John Wiley & Sons
Release Date 2006-04-20
Category Business & Economics
Total Pages 412
ISBN 9780471767640
Language English, Spanish, and French
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Book Summary:

The first definitive guide to understanding and profiting fromthe relationship between the stock market and interest rates It's well established that interest rates significantly impactthe stock market. This is the first book that definitively exploresthe interest rate/stock market relationship and describes aspecific system for profiting from the relationship. Timing theMarket provides an historically proven system, rooted infundamental economics, that allows investors and traders toforecast the stock market using data from the interest ratemarkets-together with supporting market sentiment and culturalindicators-to pinpoint and profit from major turns in the stockmarket. Deborah Weir (Greenwich, CT) is President of WealthStrategies, a firm that does marketing for traditional moneymanagers and hedge funds. She is a Chartered Financial Analyst andis the first woman president of the Stamford CFA Society.

Life Of Adam Smith by John Rae

Title Life of Adam Smith
Author John Rae
Publisher Unknown
Release Date 1895
Category Economists
Total Pages 449
ISBN STANFORD:36105012242579
Language English, Spanish, and French
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Book Summary:

Title Critical Multicultural Analysis of Children s Literature
Author Maria José Botelho
Publisher Routledge
Release Date 2009-05-07
Category Education
Total Pages 354
ISBN 9781135653743
Language English, Spanish, and French
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Book Summary:

"Children’s literature is a contested terrain, as is multicultural education. Taken together, they pose a formidable challenge to both classroom teachers and academics.... Rather than deny the inherent conflicts and tensions in the field, in Critical Multicultural Analysis of Children’s Literature: Mirrors, Windows, and Doors, Maria José Botelho and Masha Kabakow Rudman confront, deconstruct, and reconstruct these terrains by proposing a reframing of the field.... Surely all of us – children, teachers, and academics – can benefit from this more expansive understanding of what it means to read books." Sonia Nieto, From the Foreword Critical multicultural analysis provides a philosophical shift for teaching literature, constructing curriculum, and taking up issues of diversity and social justice. It problematizes children’s literature, offers a way of reading power, explores the complex web of sociopolitical relations, and deconstructs taken-for-granted assumptions about language, meaning, reading, and literature: it is literary study as sociopolitical change. Bringing a critical lens to the study of multiculturalism in children’s literature, this book prepares teachers, teacher educators, and researchers of children’s literature to analyze the ideological dimensions of reading and studying literature. Each chapter includes recommendations for classroom application, classroom research, and further reading. Helpful end-of-book appendixes include a list of children’s book awards, lists of publishers, diagrams of the power continuum and the theoretical framework of critical multicultural analysis, and lists of selected children’s literature journals and online resources.

Doom Castle by Neil Munro

Title Doom Castle
Author Neil Munro
Publisher Good Press
Release Date 2019-11-27
Category Fiction
Total Pages 303
ISBN EAN:4057664613127
Language English, Spanish, and French
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Book Summary:

"Doom Castle" by Neil Munro. Published by Good Press. Good Press publishes a wide range of titles that encompasses every genre. From well-known classics & literary fiction and non-fiction to forgotten−or yet undiscovered gems−of world literature, we issue the books that need to be read. Each Good Press edition has been meticulously edited and formatted to boost readability for all e-readers and devices. Our goal is to produce eBooks that are user-friendly and accessible to everyone in a high-quality digital format.