Author: Steven Saltman
Publisher:
ISBN: 9780983481935
Category : Business & Economics
Languages : en
Pages : 146
Book Description
If you've had a hankering for some finance knowledge but couldn't bring yourself to ask your lover during a post-coital cooldown, this here is your go-to reading. You'll learn how to prepare financial statements and how to say "What is profit?" in Russian, and much more.
Understanding Financial Statements
Author: Jay Taparia
Publisher: Marion Street Press, Inc.
ISBN: 9780972993739
Category : Business & Economics
Languages : en
Pages : 130
Book Description
Provides the essentials for understanding a company's financial health by explaining how companies formulate their financial documents and how to evaluate financial statements.
Publisher: Marion Street Press, Inc.
ISBN: 9780972993739
Category : Business & Economics
Languages : en
Pages : 130
Book Description
Provides the essentials for understanding a company's financial health by explaining how companies formulate their financial documents and how to evaluate financial statements.
Wtf Is Ebitda?
Author: Steven Saltman
Publisher:
ISBN: 9780983481935
Category : Business & Economics
Languages : en
Pages : 146
Book Description
If you've had a hankering for some finance knowledge but couldn't bring yourself to ask your lover during a post-coital cooldown, this here is your go-to reading. You'll learn how to prepare financial statements and how to say "What is profit?" in Russian, and much more.
Publisher:
ISBN: 9780983481935
Category : Business & Economics
Languages : en
Pages : 146
Book Description
If you've had a hankering for some finance knowledge but couldn't bring yourself to ask your lover during a post-coital cooldown, this here is your go-to reading. You'll learn how to prepare financial statements and how to say "What is profit?" in Russian, and much more.
Ebitda
Author: iMinds
Publisher: iMinds Pty Ltd
ISBN: 1921798858
Category : Business & Economics
Languages : en
Pages : 5
Book Description
Learn about EBITDA, a calculation used to indicate a company's financial performance.
Publisher: iMinds Pty Ltd
ISBN: 1921798858
Category : Business & Economics
Languages : en
Pages : 5
Book Description
Learn about EBITDA, a calculation used to indicate a company's financial performance.
Equity Asset Valuation
Author: John D. Stowe
Publisher: John Wiley & Sons
ISBN: 0470052821
Category : Business & Economics
Languages : en
Pages : 338
Book Description
"Here is an essential tool for the investor: clear, practical, insightful, and concise. This book should have a long, useful life in a professional's library." —Jeffrey P. Davis, CFA, Chief Investment Officer, Lee Munder Capital Group "This book provides a clear, comprehensive overview of equity valuation concepts and methods. It is well suited for finance practitioners who want to strengthen their understanding of equity asset valuation and as a supplemental reading in advanced undergraduate and graduate courses addressing security analysis and business valuation." —Professor Robert Parrino, CFA, PhD, Department of Finance, Red McCombs School of Business, The University of Texas at Austin "CFA Institute has done it again. This will be a 'must' reference book for anyone serious about the nuances of equity investment valuation." —Robert D. Arnott, Chairman, Research Affiliates "Equity Asset Valuation concisely and clearly explains the most widely used approaches to equity evaluation. In addition to thoroughly explaining the implementation of each valuation method, there is sophisticated discussion of the commonsense financial economics and accounting issues underlying the methods." —David Blackwell, Head and RepublicBank/James W. Aston Professor of Finance, Mays Business School, Texas A&M University
Publisher: John Wiley & Sons
ISBN: 0470052821
Category : Business & Economics
Languages : en
Pages : 338
Book Description
"Here is an essential tool for the investor: clear, practical, insightful, and concise. This book should have a long, useful life in a professional's library." —Jeffrey P. Davis, CFA, Chief Investment Officer, Lee Munder Capital Group "This book provides a clear, comprehensive overview of equity valuation concepts and methods. It is well suited for finance practitioners who want to strengthen their understanding of equity asset valuation and as a supplemental reading in advanced undergraduate and graduate courses addressing security analysis and business valuation." —Professor Robert Parrino, CFA, PhD, Department of Finance, Red McCombs School of Business, The University of Texas at Austin "CFA Institute has done it again. This will be a 'must' reference book for anyone serious about the nuances of equity investment valuation." —Robert D. Arnott, Chairman, Research Affiliates "Equity Asset Valuation concisely and clearly explains the most widely used approaches to equity evaluation. In addition to thoroughly explaining the implementation of each valuation method, there is sophisticated discussion of the commonsense financial economics and accounting issues underlying the methods." —David Blackwell, Head and RepublicBank/James W. Aston Professor of Finance, Mays Business School, Texas A&M University
The Valuation Handbook
Author: Rawley Thomas
Publisher: John Wiley & Sons
ISBN: 0470385790
Category : Business & Economics
Languages : en
Pages : 657
Book Description
The definitive guide to valuation written by a who's who of today's top practitioners The Valuation Handbook differs significantly from other related books on this topic because the contributors are practitioners, academics, and investment firms that explain how they value companies and other assets. It concentrates on specific and innovative valuation techniques, rather than the theoretical approaches more generally accepted and discussed. Given the extreme volatility of the stock market, valuation is a critical issue for analysts, investors, and businesses. Here, various professional contributors explain how their firms approach the valuation process, while academic contributors share their valuation consulting and research experience. Examines how to value assets in today's dynamic market setting Offers a broad spectrum of ideas from some of the top practitioners and academics in this field Highlights state-of-the-art approaches to company valuation Filled with in-depth insights and expert advice, The Valuation Handbook puts this difficult discipline in perspective.
Publisher: John Wiley & Sons
ISBN: 0470385790
Category : Business & Economics
Languages : en
Pages : 657
Book Description
The definitive guide to valuation written by a who's who of today's top practitioners The Valuation Handbook differs significantly from other related books on this topic because the contributors are practitioners, academics, and investment firms that explain how they value companies and other assets. It concentrates on specific and innovative valuation techniques, rather than the theoretical approaches more generally accepted and discussed. Given the extreme volatility of the stock market, valuation is a critical issue for analysts, investors, and businesses. Here, various professional contributors explain how their firms approach the valuation process, while academic contributors share their valuation consulting and research experience. Examines how to value assets in today's dynamic market setting Offers a broad spectrum of ideas from some of the top practitioners and academics in this field Highlights state-of-the-art approaches to company valuation Filled with in-depth insights and expert advice, The Valuation Handbook puts this difficult discipline in perspective.
Financial Statement Analysis
Author: Martin S. Fridson
Publisher: John Wiley & Sons
ISBN: 0471264601
Category : Business & Economics
Languages : en
Pages : 414
Book Description
Praise for Financial Statement Analysis A Practitioner's Guide Third Edition "This is an illuminating and insightful tour of financial statements, how they can be used to inform, how they can be used to mislead, and how they can be used to analyze the financial health of a company." -Professor Jay O. Light Harvard Business School "Financial Statement Analysis should be required reading for anyone who puts a dime to work in the securities markets or recommends that others do the same." -Jack L. Rivkin Executive Vice President (retired) Citigroup Investments "Fridson and Alvarez provide a valuable practical guide for understanding, interpreting, and critically assessing financial reports put out by firms. Their discussion of profits-'quality of earnings'-is particularly insightful given the recent spate of reporting problems encountered by firms. I highly recommend their book to anyone interested in getting behind the numbers as a means of predicting future profits and stock prices." -Paul Brown Chair-Department of Accounting Leonard N. Stern School of Business, NYU "Let this book assist in financial awareness and transparency and higher standards of reporting, and accountability to all stakeholders." -Patricia A. Small Treasurer Emeritus, University of California Partner, KCM Investment Advisors "This book is a polished gem covering the analysis of financial statements. It is thorough, skeptical and extremely practical in its review." -Daniel J. Fuss Vice Chairman Loomis, Sayles & Company, LP
Publisher: John Wiley & Sons
ISBN: 0471264601
Category : Business & Economics
Languages : en
Pages : 414
Book Description
Praise for Financial Statement Analysis A Practitioner's Guide Third Edition "This is an illuminating and insightful tour of financial statements, how they can be used to inform, how they can be used to mislead, and how they can be used to analyze the financial health of a company." -Professor Jay O. Light Harvard Business School "Financial Statement Analysis should be required reading for anyone who puts a dime to work in the securities markets or recommends that others do the same." -Jack L. Rivkin Executive Vice President (retired) Citigroup Investments "Fridson and Alvarez provide a valuable practical guide for understanding, interpreting, and critically assessing financial reports put out by firms. Their discussion of profits-'quality of earnings'-is particularly insightful given the recent spate of reporting problems encountered by firms. I highly recommend their book to anyone interested in getting behind the numbers as a means of predicting future profits and stock prices." -Paul Brown Chair-Department of Accounting Leonard N. Stern School of Business, NYU "Let this book assist in financial awareness and transparency and higher standards of reporting, and accountability to all stakeholders." -Patricia A. Small Treasurer Emeritus, University of California Partner, KCM Investment Advisors "This book is a polished gem covering the analysis of financial statements. It is thorough, skeptical and extremely practical in its review." -Daniel J. Fuss Vice Chairman Loomis, Sayles & Company, LP
Investment Banking
Author: Giuliano Iannotta
Publisher: Springer Science & Business Media
ISBN: 354093765X
Category : Business & Economics
Languages : en
Pages : 199
Book Description
From a historical point of view, the main activity of investment banks is what today we call security underwriting. Investment banks buy securities, such as bonds and stocks, from an issuer and then sell them to the ?nal investors. In the eighteenth century, the main securities were bonds issued by governments. The way these bonds were priced and placed is extraordinarily similar to the system that inve- ment banks still use nowadays. When a government wanted to issue new bonds, it negotiated with a few prominent “middlemen” (today we would call them investment bankers). The middlemen agreed to take a fraction of the bonds: they accepted to do so only after having canvassed a list of people they could rely upon. The people on the list were the ?nal investors. The middlemen negotiated with the government even after the issuance. Indeed, in those days governments often changed unilaterally the bond conditions and being on the list of an important middleman could make the difference. On the other hand, middlemen with larger lists were considered to be in a better bargaining position. This game was repeated over time, and hence, reputation mattered. For the middlemen, being trusted by both the investors on the list and by the issuing governments was crucial.
Publisher: Springer Science & Business Media
ISBN: 354093765X
Category : Business & Economics
Languages : en
Pages : 199
Book Description
From a historical point of view, the main activity of investment banks is what today we call security underwriting. Investment banks buy securities, such as bonds and stocks, from an issuer and then sell them to the ?nal investors. In the eighteenth century, the main securities were bonds issued by governments. The way these bonds were priced and placed is extraordinarily similar to the system that inve- ment banks still use nowadays. When a government wanted to issue new bonds, it negotiated with a few prominent “middlemen” (today we would call them investment bankers). The middlemen agreed to take a fraction of the bonds: they accepted to do so only after having canvassed a list of people they could rely upon. The people on the list were the ?nal investors. The middlemen negotiated with the government even after the issuance. Indeed, in those days governments often changed unilaterally the bond conditions and being on the list of an important middleman could make the difference. On the other hand, middlemen with larger lists were considered to be in a better bargaining position. This game was repeated over time, and hence, reputation mattered. For the middlemen, being trusted by both the investors on the list and by the issuing governments was crucial.
Investment Valuation
Author: Aswath Damodaran
Publisher: John Wiley & Sons
ISBN: 111801152X
Category : Business & Economics
Languages : en
Pages : 999
Book Description
The definitive source of information on all topics related to investment valuation tools and techniques Valuation is at the heart of any investment decision, whether that decision is buy, sell or hold. But the pricing of many assets has become a more complex task in modern markets, especially after the recent financial crisis. In order to be successful at this endeavor, you must have a firm understanding of the proper valuation techniques. One valuation book stands out as withstanding the test of time among investors and students of financial markets, Aswath Damodaran'sInvestment Valuation. Now completely revised and updated to reflect changing market conditions, this third edition comprehensively introduces investment professionals and students to the range of valuation models available and how to chose the right model for any given asset valuation scenario. This edition includes valuation techniques for a whole host of real options, start-up firms, unconventional assets, distressed companies and private equity, and real estate. All examples have been updated and new material has been added. Fully revised to incorporate valuation lessons learned from the last five years, from the market crisis and emerging markets to new types of equity investments Includes valuation practices across the life cycle of companies and emphasizes value enhancement measures, such as EVA and CFROI Contains a new chapter on probabilistic valuation techniques such as decision trees and Monte Carlo Simulation Author Aswath Damodaran is regarded as one of the best educators and thinkers on the topic of investment valuation This indispensable guide is a must read for anyone wishing to gain a better understanding of investment valuation and its methods. With it, you can take the insights and advice of a recognized authority on the valuation process and immediately put them to work for you.
Publisher: John Wiley & Sons
ISBN: 111801152X
Category : Business & Economics
Languages : en
Pages : 999
Book Description
The definitive source of information on all topics related to investment valuation tools and techniques Valuation is at the heart of any investment decision, whether that decision is buy, sell or hold. But the pricing of many assets has become a more complex task in modern markets, especially after the recent financial crisis. In order to be successful at this endeavor, you must have a firm understanding of the proper valuation techniques. One valuation book stands out as withstanding the test of time among investors and students of financial markets, Aswath Damodaran'sInvestment Valuation. Now completely revised and updated to reflect changing market conditions, this third edition comprehensively introduces investment professionals and students to the range of valuation models available and how to chose the right model for any given asset valuation scenario. This edition includes valuation techniques for a whole host of real options, start-up firms, unconventional assets, distressed companies and private equity, and real estate. All examples have been updated and new material has been added. Fully revised to incorporate valuation lessons learned from the last five years, from the market crisis and emerging markets to new types of equity investments Includes valuation practices across the life cycle of companies and emphasizes value enhancement measures, such as EVA and CFROI Contains a new chapter on probabilistic valuation techniques such as decision trees and Monte Carlo Simulation Author Aswath Damodaran is regarded as one of the best educators and thinkers on the topic of investment valuation This indispensable guide is a must read for anyone wishing to gain a better understanding of investment valuation and its methods. With it, you can take the insights and advice of a recognized authority on the valuation process and immediately put them to work for you.
FCC Record
Author: United States. Federal Communications Commission
Publisher:
ISBN:
Category : Telecommunication
Languages : en
Pages : 352
Book Description
Publisher:
ISBN:
Category : Telecommunication
Languages : en
Pages : 352
Book Description
"Mastering the Market"
Author: Oliver Buffett
Publisher: Dev Choudhary
ISBN:
Category : Business & Economics
Languages : en
Pages : 926
Book Description
Embark on a transformative journey through the world of investing with "Mastering The Market." This comprehensive guide is designed to take you from the basics of the stock market to advanced trading strategies, empowering you to make informed investment decisions at every stage of your journey. Inside this book, you will discover: 1. Foundations of the Stock Market Understanding Stocks and Shares: Learn what stocks are, how they represent ownership in a company, and the different types of shares. Market Mechanics: Gain insights into how the stock market functions, including exchanges, order types, and the role of market makers. 2. Investment Strategies Value Investing: Discover the principles of value investing and how to identify undervalued stocks with strong potential for growth. Growth Investing: Explore growth investing strategies focusing on companies with high growth potential and how to assess their future performance. Dividend Investing: Understand the benefits of investing in dividend-paying stocks and how to build a steady income stream. 3. Technical and Fundamental Analysis Technical Analysis: Master the art of reading charts, using technical indicators, and recognizing patterns to forecast price movements. Fundamental Analysis: Learn how to analyze a company’s financial statements, assess its performance, and understand industry trends. 4. Risk Management Diversification: Understand the importance of diversifying your portfolio to mitigate risk and enhance returns. Stop-Loss Orders: Learn how to set stop-loss orders to protect your investments and minimize potential losses. Market Volatility: Develop strategies to navigate market fluctuations and maintain a long-term perspective. 5. Futures and Options Trading Understanding Futures Contracts: Learn what futures contracts are, how they work, and their role in hedging and speculation. Options Basics: Explore the fundamentals of options trading, including calls and puts, and how they can be used to leverage your investments. Advanced Options Strategies: Discover various strategies such as covered calls, straddles, and spreads that can enhance your trading toolkit. Risk Management with Futures and Options: Understand how to use futures and options to manage risk in your portfolio effectively. 6. Trading Psychology Emotional Discipline: Explore the psychological aspects of trading, including how to manage emotions and develop a disciplined trading approach. Overcoming Common Pitfalls: Identify common psychological traps that traders face and strategies to overcome them. 7. Practical Tips and Case Studies Real-World Examples: Benefit from case studies that illustrate key concepts and strategies in action, helping you understand how successful investors think and operate. Actionable Insights: Receive practical tips for setting up your trading account, choosing the right broker, and developing a personalized investment plan. 8. Tools and Resources Recommended Tools: Discover useful tools and platforms for trading, research, and portfolio management to enhance your investment experience. Continuous Learning: Access resources for ongoing education, including websites, books, and online courses to further deepen your understanding. With step-by-step instructions, expert insights, and easy-to-follow explanations, "Mastering The Market" is your ultimate resource for mastering the stock market, futures, and options. Whether you’re starting from scratch or looking to refine your skills, this book equips you with the knowledge and confidence to thrive in the ever-evolving world of investing. Turn your aspirations into achievements and unlock your potential in the stock market today!
Publisher: Dev Choudhary
ISBN:
Category : Business & Economics
Languages : en
Pages : 926
Book Description
Embark on a transformative journey through the world of investing with "Mastering The Market." This comprehensive guide is designed to take you from the basics of the stock market to advanced trading strategies, empowering you to make informed investment decisions at every stage of your journey. Inside this book, you will discover: 1. Foundations of the Stock Market Understanding Stocks and Shares: Learn what stocks are, how they represent ownership in a company, and the different types of shares. Market Mechanics: Gain insights into how the stock market functions, including exchanges, order types, and the role of market makers. 2. Investment Strategies Value Investing: Discover the principles of value investing and how to identify undervalued stocks with strong potential for growth. Growth Investing: Explore growth investing strategies focusing on companies with high growth potential and how to assess their future performance. Dividend Investing: Understand the benefits of investing in dividend-paying stocks and how to build a steady income stream. 3. Technical and Fundamental Analysis Technical Analysis: Master the art of reading charts, using technical indicators, and recognizing patterns to forecast price movements. Fundamental Analysis: Learn how to analyze a company’s financial statements, assess its performance, and understand industry trends. 4. Risk Management Diversification: Understand the importance of diversifying your portfolio to mitigate risk and enhance returns. Stop-Loss Orders: Learn how to set stop-loss orders to protect your investments and minimize potential losses. Market Volatility: Develop strategies to navigate market fluctuations and maintain a long-term perspective. 5. Futures and Options Trading Understanding Futures Contracts: Learn what futures contracts are, how they work, and their role in hedging and speculation. Options Basics: Explore the fundamentals of options trading, including calls and puts, and how they can be used to leverage your investments. Advanced Options Strategies: Discover various strategies such as covered calls, straddles, and spreads that can enhance your trading toolkit. Risk Management with Futures and Options: Understand how to use futures and options to manage risk in your portfolio effectively. 6. Trading Psychology Emotional Discipline: Explore the psychological aspects of trading, including how to manage emotions and develop a disciplined trading approach. Overcoming Common Pitfalls: Identify common psychological traps that traders face and strategies to overcome them. 7. Practical Tips and Case Studies Real-World Examples: Benefit from case studies that illustrate key concepts and strategies in action, helping you understand how successful investors think and operate. Actionable Insights: Receive practical tips for setting up your trading account, choosing the right broker, and developing a personalized investment plan. 8. Tools and Resources Recommended Tools: Discover useful tools and platforms for trading, research, and portfolio management to enhance your investment experience. Continuous Learning: Access resources for ongoing education, including websites, books, and online courses to further deepen your understanding. With step-by-step instructions, expert insights, and easy-to-follow explanations, "Mastering The Market" is your ultimate resource for mastering the stock market, futures, and options. Whether you’re starting from scratch or looking to refine your skills, this book equips you with the knowledge and confidence to thrive in the ever-evolving world of investing. Turn your aspirations into achievements and unlock your potential in the stock market today!