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2011, Rev. 2011 ed, Wiley finance series, ISBN 1119990726, xxi, 570
...) and the effects of underlying risk factors (growth, inflation, illiquidity, tail risks). Judging expected returns requires balancing historical returns with both theoretical considerations and current market conditions... 
Rate of return | Investments | Investments & Securities | Business & Economics | Personal Investing | Finance
Book
2000, Publications of the Newton Institute, ISBN 0521571383, xxvii, 531
Book
2002, ISBN 9780691091945, xii, 339
Investors have too often extrapolated from recent experience. In the 1950s, who but the most rampant optimist would have dreamt that over the next fifty years the real return on equities would be 9% per year... 
Prices | Investments, Foreign | Investments | Stocks | Rate of return | Capital market | History | 20th century
Book
2014, Bloomberg financial series, ISBN 9781118202685, xiii, 706 pages
Book
2017, ISBN 9780226426846, Volume 57734, 826
Few scholars have been as influential in finance and economics as University of Chicago professor Eugene F. Fama. Over the course of a brilliant and productive... 
Capital market | Efficient market theory | Stocks | Finance
eBook
2003, ISBN 9780691096308, xx, 421
The scientific study of complex systems has transformed a wide range of disciplines in recent years, enabling researchers in both the natural and social... 
Prices | Stock exchanges | Stocks | Critical phenomena (Physics) | Complexity (Philosophy) | Financial crises | History | Economics | United States | Finance | Theory | BUSINESS & ECONOMICS
Book
2005, Academic Press advanced finance series, ISBN 0120887835, xxi, 488
The most current and comprehensive discussion of how psychology affects market activity. 
Risk management | Capital assets pricing model
Book
2016, India studies in business and economics, ISBN 9789811008672, 208
...). Equity markets constitute the most important segment of stock exchanges; in fact, the status of equity returns is, by and large, considered as a barometer of the state of a country's economy... 
Risk management
eBook
2018, Palgrave pivot, ISBN 9783319690070, xiii, 136 pages
Providing a comprehensive analysis of asset price movement, this book examines different aspects of stock return predictability, the interaction between stock return and dividend growth predictability... 
Rate of return | Capital assets pricing model | Econometric models | Capital market | Pricing | Pricing-Econometric models | Stocks
Book
2012, ISBN 020311261X, xiv, 310
.... The first half of the book covers much of the received theory in these areas such as the relationship between the risk of an equity security and the return one can expect from it, the effects of leverage... 
Investment analysis | Corporations | Valuation | Business enterprises | Corporate Finance | Financial Management | Financial Accounting | Investment & Securities
Book
2011, 1. Aufl., Wiley finance, ISBN 9780470750131, 336
Taking due account of extreme events when constructing portfolios of assets or liabilities is a key discipline for market professionals. Extreme events are a... 
Portfolio management | Exchange traded funds
eBook
2009, Illustrated ed., International finance review, ISBN 1849505144, Volume 8, 537
Focuses on the Asia-Pacific financial markets. This volume utilizes a variety of methods, including theoretical, empirical and qualitative to highlight a range... 
Capital market | Stock exchanges | Asia | Securities | Finance | Pacific Area
eBook
2010, 2nd ed., CFA Institute investment series., ISBN 0470571438, xx, 441
Book
2015, 1, ISBN 1484207327, xii, 131
.... It includes ratios that are commonly used, such as return on investment (ROI), return on assets (ROA), return on equity (ROE), economic value added... 
Ratio analysis | Success in business | Industrial statistics | Corporations | Statistics | Finance | Finance & Economics | Business
Book
2015, Second edition., ISBN 9781118955772, xi, 246 pages
.... However, Buffett doesn't draw conclusions of his predictability method relative to the future total returns of portfolios... 
Investment analysis | Buffett, Warren | Securities
Book
04/2009, ISBN 9780691091945, 352
Investors have too often extrapolated from recent experience. In the 1950s, who but the most rampant optimist would have dreamt that over the next fifty years the real return on equities would be 9% per year... 
Finance | Investments & Securities | BUSINESS & ECONOMICS
eBook
2007, 1st ed., Quantitative finance series, ISBN 9780750683210, x, 286
Dr Stephen Satchell brings together a collection of leading thinkers from around the world to address this complex and central challenge in portfolio... 
Investment analysis | Mathematical models | Stock price forecasting | Prices | Mathematics | Securities | Forecasting | Finance
Book
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