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Stocks for the Long Run : The Definitive Guide to Financial Market Returns and Long-term Investment Strategies - Jeremy J. Siegel

Stocks for the Long Run

The Definitive Guide to Financial Market Returns and Long-term Investment Strategies

Hardcover Published: 17th December 2013
ISBN: 9780071800518
Number Of Pages: 448

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The stock-investing classic'updated to help investors win consistently in the chaotic, post-meltdown global economy

Now in its fifth edition, Stocks for the Long Run includes Siegel's highly anticipated analysis of the sub-prime crash, the financial crisis, and resulting world-wide recession. This new edition also includes a deeper focus on international investing and emerging markets.

  • In the past five years, emerging markets have jumped ahead of developed markets, with India and China more than one-third larger than they were before the financial crisis; this book provides critical information on how to earn long-term profits in this new environment
  • Contains a brand-new chapter on the financial crisis and new in-depth coverage of the increasingly important role of emerging markets
  • Siegel has won numerous awards, including the Graham and Dodd Award for the best article published in The Financial Analysts Journal and the Peter Bernstein and Frank Fabozzi Award for the best article published in The Journal of Portfolio Management

Industry Reviews

"[A] heavily researched book that cites historic and contemporary sources to support [its] thesis, but it is accessible to the average person." Chicago Tribune 20140109

Preface xix
Acknowledgments xxiii

PART I
STOCK RETURNS: PAST, PRESENT, AND FUTURE

Chapter 1
The Case for Equity
Chapter 2
The Great Financial Crisis of 2008
Chapter 3
The Markets, the Economy, and Government Policy in the Wake of the Crisis
Chapter 4
The Entitlement Crisis

PART II
THE VERDICT OF HISTORY

Chapter 5
Stock and Bond Returns Since 1802
Chapter 6
Risk, Return, and Portfolio Allocation
Chapter 7
Stock Indexes
Chapter 8
The S&P 500 Index
Chapter 9
The Impact of Taxes on Stock and Bond Returns
Chapter 10
Sources of Shareholder Value
Chapter 11
Yardsticks to Value the Stock Market
Chapter 12
Outperforming the Market
Chapter 13
Global Investing

PART III
HOW THE ECONOMIC ENVIRONMENT IMPACTS STOCKS

Chapter 14
Gold, Monetary Policy, and inflation
Chapter 15
Stocks and the Business Cycle
Chapter 16
When World Events impact Financial Markets
Chapter 17
Stocks, Bonds, and the Flow of Economic data

PART IV
STOCK FLUCTUATIONS IN THE SHORT RUN

Chapter 18
Exchange-Traded Funds, Stock Index Futures, and Options
Chapter 19
Market Volatility
Chapter 20Technical Analysis and investing with the Trend
Chapter 21
Calendar Anomalies
Chapter 22
Behavioral Finance and the Psychology of Investing

PART V
BUILDING WEALTH THROUGH STOCKS

Chapter 23
Fund Performance, indexing, and Beating the Market
Chapter 24
Structuring a Portfolio for Long-Term Growth

Concluding Comment
Notes
index

ISBN: 9780071800518
ISBN-10: 0071800514
Series: Management & Leadership
Audience: Professional
Format: Hardcover
Language: English
Number Of Pages: 448
Published: 17th December 2013
Publisher: McGraw-Hill Education - Europe
Country of Publication: US
Dimensions (cm): 24.3 x 19.7  x 4.0
Weight (kg): 0.9
Edition Number: 5
Edition Type: Revised

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