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Fundamentos de economía financiera
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Fundamentos de economía financiera in Chattanooga, TN
Current price: $23.95

Barnes and Noble
Fundamentos de economía financiera in Chattanooga, TN
Current price: $23.95
Loading Inventory...
Size: OS
Sumérgete en el fascinante mundo de la gestión de carteras de activos financieros con las sabias explicaciones de David Cano, un experto con más de 25 años de experiencia en los mercados. Los precios de los activos financieros fluctúan con intensidad, por lo que resulta necesario conocer los fundamentos económicos que los respaldan. Esta volatilidad, fuente de rentabilidad y riesgo, se desentraña en este libro, donde Cano explora la conformación de los precios de los activos. Descubre los secretos que hay detrás de la rentabilidad y el riesgo en los mercados financieros y toma el control de tus inversiones. «Este libro expone de forma clara los conceptos precisos para gestionar bien una cartera de activos financieros. Combina la larga experiencia de David Cano como profesor de finanzas y como gestor profesional de carteras. Se centra en los conceptos y reglas precisos para gestionar inversiones de forma racional. Pero dedica también un valioso capítulo final a la psicología práctica de los inversores financieros (behavioral finance o, en su terminología, “finanzas del comportamiento”), a los errores y sesgos en que muchos incurren con frecuencia, y a la forma de mitigarlos. Constituye, pues, un manual práctico sobre gestión de inversiones que contribuirá a la educación financiera de muchos inversores». Manuel Conthe
Dive into the fascinating world of financial asset portfolio management with the wise explanations of David Cano, an expert with over 25 years of experience in the markets. Financial asset prices fluctuate wildly, making it necessary to understand the economic fundamentals behind them. This volatility, a source of profitability and risk, is unraveled in this book, where Cano explores how asset prices are shaped. Discover the secrets behind profitability and risk in financial markets and take control of your investments. "This book clearly lays out the precise concepts for managing a portfolio of financial assets well. It combines David Cano's long experience as a professor of finance and as a professional portfolio manager. It focuses on the concepts and rules needed to manage investments rationally. But it also devotes a valuable final chapter to the practical psychology of financial investors (behavioral finance), the mistakes and biases that many often make, and how to mitigate them. It is therefore a practical handbook on investment management that will contribute to the financial education of many investors.
Dive into the fascinating world of financial asset portfolio management with the wise explanations of David Cano, an expert with over 25 years of experience in the markets. Financial asset prices fluctuate wildly, making it necessary to understand the economic fundamentals behind them. This volatility, a source of profitability and risk, is unraveled in this book, where Cano explores how asset prices are shaped. Discover the secrets behind profitability and risk in financial markets and take control of your investments. "This book clearly lays out the precise concepts for managing a portfolio of financial assets well. It combines David Cano's long experience as a professor of finance and as a professional portfolio manager. It focuses on the concepts and rules needed to manage investments rationally. But it also devotes a valuable final chapter to the practical psychology of financial investors (behavioral finance), the mistakes and biases that many often make, and how to mitigate them. It is therefore a practical handbook on investment management that will contribute to the financial education of many investors.
Sumérgete en el fascinante mundo de la gestión de carteras de activos financieros con las sabias explicaciones de David Cano, un experto con más de 25 años de experiencia en los mercados. Los precios de los activos financieros fluctúan con intensidad, por lo que resulta necesario conocer los fundamentos económicos que los respaldan. Esta volatilidad, fuente de rentabilidad y riesgo, se desentraña en este libro, donde Cano explora la conformación de los precios de los activos. Descubre los secretos que hay detrás de la rentabilidad y el riesgo en los mercados financieros y toma el control de tus inversiones. «Este libro expone de forma clara los conceptos precisos para gestionar bien una cartera de activos financieros. Combina la larga experiencia de David Cano como profesor de finanzas y como gestor profesional de carteras. Se centra en los conceptos y reglas precisos para gestionar inversiones de forma racional. Pero dedica también un valioso capítulo final a la psicología práctica de los inversores financieros (behavioral finance o, en su terminología, “finanzas del comportamiento”), a los errores y sesgos en que muchos incurren con frecuencia, y a la forma de mitigarlos. Constituye, pues, un manual práctico sobre gestión de inversiones que contribuirá a la educación financiera de muchos inversores». Manuel Conthe
Dive into the fascinating world of financial asset portfolio management with the wise explanations of David Cano, an expert with over 25 years of experience in the markets. Financial asset prices fluctuate wildly, making it necessary to understand the economic fundamentals behind them. This volatility, a source of profitability and risk, is unraveled in this book, where Cano explores how asset prices are shaped. Discover the secrets behind profitability and risk in financial markets and take control of your investments. "This book clearly lays out the precise concepts for managing a portfolio of financial assets well. It combines David Cano's long experience as a professor of finance and as a professional portfolio manager. It focuses on the concepts and rules needed to manage investments rationally. But it also devotes a valuable final chapter to the practical psychology of financial investors (behavioral finance), the mistakes and biases that many often make, and how to mitigate them. It is therefore a practical handbook on investment management that will contribute to the financial education of many investors.
Dive into the fascinating world of financial asset portfolio management with the wise explanations of David Cano, an expert with over 25 years of experience in the markets. Financial asset prices fluctuate wildly, making it necessary to understand the economic fundamentals behind them. This volatility, a source of profitability and risk, is unraveled in this book, where Cano explores how asset prices are shaped. Discover the secrets behind profitability and risk in financial markets and take control of your investments. "This book clearly lays out the precise concepts for managing a portfolio of financial assets well. It combines David Cano's long experience as a professor of finance and as a professional portfolio manager. It focuses on the concepts and rules needed to manage investments rationally. But it also devotes a valuable final chapter to the practical psychology of financial investors (behavioral finance), the mistakes and biases that many often make, and how to mitigate them. It is therefore a practical handbook on investment management that will contribute to the financial education of many investors.

















