Global market environment. financial investment(Chinese Edition)
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1
Global market environment. financial investment
PB NW
ISBN: 9787504947093 bzw. 7504947091, Sprache unbekannt, Taschenbuch, neu.
Von Händler/Antiquariat, liu xing [54261761], JiangSu, JS, China.
Ship out in 2 business day, And Fast shipping, Free Tracking number will be provided after the shipment.Pages Number: 203 Publisher: China Financial Publishing House Pub. Date :2008-9-1. This book analyzes the various angles from the global investment and financial development in China's economic growth and national welfare in the process of status and role. through the economic global environment. the analysis of international investment strategy. from the international market in asset correlations change. exchange rate risk and country risk and other point of view the study of Chinese investors in the global market environment. portfolio management and risk control issues. and briefly introduced in the global asset allocation model for quantitative analysis. Meanwhile. the book combines the global financial markets and our current situation. from the sovereign wealth funds. international financial markets and financial products on the global wealth management market situation and development trend of many aspects of how to establish a multi-level international investment system. the real problem. This book is suitable for investors engaged in international investment. and have relevant researchers and graduate students interested in reading. Contents: Chapter 1 Introduction: When the investment horizon step out into the global market 1.1.1 1.1 Why is the globalization of financial assets is the inevitable trend of economic development investment 1.1.2 International economic and national welfare system is an important driving force for sustainable development 1.1.3 in the global market to improve the competitiveness of the financial system and the ability to resist risks 1.2 1.3 Financial investment and industrial investment and the domestic market. global market. the book differs from 1.4 objectives. content and structure of Chapter 2 to share the world through international investment 2.1 the results of development of financial markets globalization is the inevitable trend of development of financial markets 2.1.1 The global financial market development: the growth and status of the total legal and technical 2.1.2 to promote the globalization of financial markets to become an important factor in the major developed 2.1.3 country's investment to expand the international trend of 2.2 to reduce asset risk investment opportunities 2.2.1 international investments to improve the risk-return characteristics 2.2.2 Investment by international investors in China's asset quality improved 2.3 hedge economic risks to achieve steady growth 2.3.1 globalization of the real economy and financial globalization: international experience through international investment 2.3.2 China's economic hedge the risk of the development process of economic globalization. Chapter 3. the international environment. global asset allocation investment strategy 3.1 may be encountered in the main issues specific to the global market risk 3.1.1 3.1.2 systemic risk for global asset allocation of 3.2 Market Segmentation: International investment in the double-edged sword. market segmentation 3.2.2 3.2.1 tangible intangible market segmentation 3.2.3 Market segmentation in the international investment pros and cons of 3.3 in the context of globalization of the market economic diversification and industry diversification strategy 3.3.1 developed market country effect and industry effect between the shift in global trends 3.3.2 context of China's stock market of the country and industry effects: 3.4 Status and trends of China's international asset-based portfolio model portfolio better 3.4.2 3.4.1 which configuration method to use direct proportion of assets 3.4.3 hierarchical configuration of decentralized asset ratio 3.5 to build an international portfolio in the role of Chapter 4 in the international portfolio risk management 4.1 on international investment risk management must be some misunderstanding stocks than bonds 4.1.1 4.1.2 The international market risk you.
Ship out in 2 business day, And Fast shipping, Free Tracking number will be provided after the shipment.Pages Number: 203 Publisher: China Financial Publishing House Pub. Date :2008-9-1. This book analyzes the various angles from the global investment and financial development in China's economic growth and national welfare in the process of status and role. through the economic global environment. the analysis of international investment strategy. from the international market in asset correlations change. exchange rate risk and country risk and other point of view the study of Chinese investors in the global market environment. portfolio management and risk control issues. and briefly introduced in the global asset allocation model for quantitative analysis. Meanwhile. the book combines the global financial markets and our current situation. from the sovereign wealth funds. international financial markets and financial products on the global wealth management market situation and development trend of many aspects of how to establish a multi-level international investment system. the real problem. This book is suitable for investors engaged in international investment. and have relevant researchers and graduate students interested in reading. Contents: Chapter 1 Introduction: When the investment horizon step out into the global market 1.1.1 1.1 Why is the globalization of financial assets is the inevitable trend of economic development investment 1.1.2 International economic and national welfare system is an important driving force for sustainable development 1.1.3 in the global market to improve the competitiveness of the financial system and the ability to resist risks 1.2 1.3 Financial investment and industrial investment and the domestic market. global market. the book differs from 1.4 objectives. content and structure of Chapter 2 to share the world through international investment 2.1 the results of development of financial markets globalization is the inevitable trend of development of financial markets 2.1.1 The global financial market development: the growth and status of the total legal and technical 2.1.2 to promote the globalization of financial markets to become an important factor in the major developed 2.1.3 country's investment to expand the international trend of 2.2 to reduce asset risk investment opportunities 2.2.1 international investments to improve the risk-return characteristics 2.2.2 Investment by international investors in China's asset quality improved 2.3 hedge economic risks to achieve steady growth 2.3.1 globalization of the real economy and financial globalization: international experience through international investment 2.3.2 China's economic hedge the risk of the development process of economic globalization. Chapter 3. the international environment. global asset allocation investment strategy 3.1 may be encountered in the main issues specific to the global market risk 3.1.1 3.1.2 systemic risk for global asset allocation of 3.2 Market Segmentation: International investment in the double-edged sword. market segmentation 3.2.2 3.2.1 tangible intangible market segmentation 3.2.3 Market segmentation in the international investment pros and cons of 3.3 in the context of globalization of the market economic diversification and industry diversification strategy 3.3.1 developed market country effect and industry effect between the shift in global trends 3.3.2 context of China's stock market of the country and industry effects: 3.4 Status and trends of China's international asset-based portfolio model portfolio better 3.4.2 3.4.1 which configuration method to use direct proportion of assets 3.4.3 hierarchical configuration of decentralized asset ratio 3.5 to build an international portfolio in the role of Chapter 4 in the international portfolio risk management 4.1 on international investment risk management must be some misunderstanding stocks than bonds 4.1.1 4.1.2 The international market risk you.
2
Global market environment. financial investment(Chinese Edition)
PB NW
ISBN: 9787504947093 bzw. 7504947091, Sprache unbekannt, Taschenbuch, neu.
Von Händler/Antiquariat, liu xing [54261761], JiangSu, JS, China.
Language:Chinese.Pages Number: 203 Publisher: China Financial Publishing House Pub. Date :2008-9-1. This book analyzes the various angles from the global investment and financial development in China's economic growth and national welfare in the process of status and role. through the economic global environment. the analysis of international investment strategy. from the international market in asset correlations change. exchange rate risk and country risk and other point of view the study O.
Language:Chinese.Pages Number: 203 Publisher: China Financial Publishing House Pub. Date :2008-9-1. This book analyzes the various angles from the global investment and financial development in China's economic growth and national welfare in the process of status and role. through the economic global environment. the analysis of international investment strategy. from the international market in asset correlations change. exchange rate risk and country risk and other point of view the study O.
3
Global market environment. financial investment(Chinese Edition) (2000)
PB NW
ISBN: 9787504947093 bzw. 7504947091, Sprache unbekannt, China Financial Publishing House Pub. Date :2008-9-1, Taschenbuch, neu.
Lieferung aus: Vereinigtes Königreich Großbritannien und Nordirland, Usually dispatched within 1-2 business days.
Von Händler/Antiquariat, ChineseBooks.
###############################################################################################################################################################################################################################################################, Paperback, Label: China Financial Publishing House Pub. Date :2008-9-1, China Financial Publishing House Pub. Date :2008-9-1, Produktgruppe: Book, Publiziert: 2000-01-01, Studio: China Financial Publishing House Pub. Date :2008-9-1.
Von Händler/Antiquariat, ChineseBooks.
###############################################################################################################################################################################################################################################################, Paperback, Label: China Financial Publishing House Pub. Date :2008-9-1, China Financial Publishing House Pub. Date :2008-9-1, Produktgruppe: Book, Publiziert: 2000-01-01, Studio: China Financial Publishing House Pub. Date :2008-9-1.
4
Global market environment. financial investment(Chinese Edition) (2000)
PB US
ISBN: 9787504947093 bzw. 7504947091, Sprache unbekannt, China Financial Publishing House Pub. Date :2008-9-1, Taschenbuch, gebraucht.
Lieferung aus: Vereinigtes Königreich Großbritannien und Nordirland, Usually dispatched within 1-2 business days.
Von Händler/Antiquariat, Mega Bookstore.
###############################################################################################################################################################################################################################################################, Paperback, Label: China Financial Publishing House Pub. Date :2008-9-1, China Financial Publishing House Pub. Date :2008-9-1, Produktgruppe: Book, Publiziert: 2000-01-01, Studio: China Financial Publishing House Pub. Date :2008-9-1.
Von Händler/Antiquariat, Mega Bookstore.
###############################################################################################################################################################################################################################################################, Paperback, Label: China Financial Publishing House Pub. Date :2008-9-1, China Financial Publishing House Pub. Date :2008-9-1, Produktgruppe: Book, Publiziert: 2000-01-01, Studio: China Financial Publishing House Pub. Date :2008-9-1.
5
Global market environment. financial investment(Chinese Edition) (2008)
PB NW
ISBN: 9787504947093 bzw. 7504947091, Sprache unbekannt, China Financial Publishing House Pub. Date :2008-9-1, Taschenbuch, neu.
Lieferung aus: Vereinigte Staaten von Amerika, Usually ships in 1-2 business days.
Von Händler/Antiquariat, EB STORE.
Paperback, Label: China Financial Publishing House Pub. Date :2008-9-1, China Financial Publishing House Pub. Date :2008-9-1, Produktgruppe: Book, Publiziert: 2008-01-01, Studio: China Financial Publishing House Pub. Date :2008-9-1.
Von Händler/Antiquariat, EB STORE.
Paperback, Label: China Financial Publishing House Pub. Date :2008-9-1, China Financial Publishing House Pub. Date :2008-9-1, Produktgruppe: Book, Publiziert: 2008-01-01, Studio: China Financial Publishing House Pub. Date :2008-9-1.
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