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Robert A. Weigand - Applied Equity Analysis and Portfolio Management, + Online Video Course: Tools to Analyze and Manage Your Stock Portfolio - 9781118630914 - V9781118630914
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Applied Equity Analysis and Portfolio Management, + Online Video Course: Tools to Analyze and Manage Your Stock Portfolio

€ 170.40
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Description for Applied Equity Analysis and Portfolio Management, + Online Video Course: Tools to Analyze and Manage Your Stock Portfolio Paperback. From asset allocation to selecting investments in a global market, Applied Equity Analysis and Portfolio Management offers readers a solid foundation in the field of finance and presents the same tools used extensively by professionals, organizations, and academic institutions. Series: Wiley Finance. Num Pages: 336 pages, illustrations. BIC Classification: KFFM. Category: (P) Professional & Vocational. Dimension: 179 x 252 x 23. Weight in Grams: 544.

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...

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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.

Product Details

Format
Paperback
Publication date
2014
Publisher
John Wiley & Sons Inc United States
Number of pages
368
Condition
New
Series
Wiley Finance
Number of Pages
336
Place of Publication
New York, United States
ISBN
9781118630914
SKU
V9781118630914
Shipping Time
Usually ships in 7 to 11 working days
Ref
99-50

About Robert A. Weigand
ROBERT A. WEIGAND, PHD, is Professor of Finance and Brenneman Professor of Business Strategy at Washburn University in Topeka, Kansas. Previously, he was a faculty member at Texas A&M University, the University of Colorado, and the University of South Florida. Dr. Weigand is the author of over 40 scholarly articles and book chapters. His research has supported various innovations in...
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ROBERT A. WEIGAND, PHD, is Professor of Finance and Brenneman Professor of Business Strategy at Washburn University in Topeka, Kansas. Previously, he was a faculty member at Texas A&M University, the University of Colorado, and the University of South Florida. Dr. Weigand is the author of over 40 scholarly articles and book chapters. His research has supported various innovations in the field of asset management, including Russell Investment's CrossVol™ Volatility Indexes. He earned a PhD in financial economics from the University of Arizona in 1993.

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