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Too Smart for Our Own Good: Ingenious Investment Strategies, Illusions of Safety, and Market Crashes

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Release : 2018-08-17
Genre : Business & Economics
Kind : eBook
Book Rating : 559/5 ( reviews)

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Book Synopsis Too Smart for Our Own Good: Ingenious Investment Strategies, Illusions of Safety, and Market Crashes by : Bruce I. Jacobs

Download or read book Too Smart for Our Own Good: Ingenious Investment Strategies, Illusions of Safety, and Market Crashes written by Bruce I. Jacobs. This book was released on 2018-08-17. Available in PDF, EPUB and Kindle. Book excerpt: How investment strategies designed to reduce risk can increase risk for everyone—and can crash markets and economies Financial crises are often blamed on unforeseeable events, the unforgiving nature of capital markets, or just plain bad luck. Too Smart for Our Own Good argues that these crises are caused by certain alluring investment strategies that promise both high returns and safety of capital. In other words, the severe and widespread crises we have suffered in recent decades were not perfect storms. Instead, they were made by us. By understanding how and why this is so, we may be able to avoid or ameliorate future crises—and maybe even anticipate them. One of today’s leading financial thinkers, Bruce I. Jacobs, examines recent financial crises—including the 1987 stock market crash, the 1998 collapse of the hedge fund Long-Term Capital Management, the 2007–2008 credit crisis, and the European debt crisis—and reveals the common threads that explain these market disruptions. In each case, investors in search of safety were drawn to novel strategies that were intended to reduce risk but actually magnified it—and blew up markets. Too Smart for Our Own Good takes a behind-the-curtain look at: • The inseparable nature of investment risk and reward and the often counterproductive effects of some popular approaches for reducing risk • A trading strategy known as portfolio insurance and the key role it played in the 1987 stock market crash • How option-related trading disrupted markets in the decade following the 1987 crash • Why the demise of Long-Term Capital Management in 1998 wreaked havoc on US stock and bond markets • How mortgage-backed financial products, by shifting risk from one party to another, created the credit crisis of 2007–2008 and contributed to the subsequent European debt crisis This broad, detailed investigation of financial crises is the most penetrating and objective look at the subject to date. In addition, Jacobs, an industry insider, offers invaluable insights into the nature of investment risk and reward, and how to manage risk. Risk is unavoidable—especially in investing—and financial markets connect us all. Until we accept these facts and manage risk in responsible ways, major crises will always be just around the bend. Too Smart for Our Own Good is a big step toward smarter investing—and a better financial future for everyone.

Capital Ideas and Market Realities

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Release : 1999-08-03
Genre : Business & Economics
Kind : eBook
Book Rating : 554/5 ( reviews)

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Book Synopsis Capital Ideas and Market Realities by : Bruce I. Jacobs

Download or read book Capital Ideas and Market Realities written by Bruce I. Jacobs. This book was released on 1999-08-03. Available in PDF, EPUB and Kindle. Book excerpt: Bruce Jacobs sifts through the history of modern finance, from the efficient market hypothesis to behavioral psychology and chaos theory, to determine the cause of recent market crashes. Includes a Foreword from Nobel Laureate Harry M. Markowitz. Showcases the expertise of an author who identified and predicted the causes of 1987, 1997 and 1998 crashes. Explains the risks of little-understood option replication. Offers chapter summaries, appendices and a glossary.

What We Still Have to Learn from the Credit Collapse (and Other Market Crises).

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Release : 2019
Genre :
Kind : eBook
Book Rating : /5 ( reviews)

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Book Synopsis What We Still Have to Learn from the Credit Collapse (and Other Market Crises). by : Ph.D. Jacobs (Bruce I.)

Download or read book What We Still Have to Learn from the Credit Collapse (and Other Market Crises). written by Ph.D. Jacobs (Bruce I.). This book was released on 2019. Available in PDF, EPUB and Kindle. Book excerpt: This editorial, which mirrors Bruce Jacobs's book Too Smart for Our Own Good: Ingenious Investment Strategies, Illusions of Safety, and Market Crashes, finds that “free-lunch” strategies and products that promise to increase returns while reducing risk can attract substantial investments and encourage leverage, especially when complexity and lack of transparency obscure the true sources of risk. But they also have the potential to induce sharp price swings that can destabilize markets and lead to crashes. The structured securitization of subprime mortgage loans, which first helped to inflate the housing bubble before triggering the implosion of the U.S. credit market, shares some important characteristics with strategies and products at the heart of prior crises, beginning with the 1987 stock market crash.

Equity Management: The Art and Science of Modern Quantitative Investing, Second Edition

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Author :
Release : 2016-12-13
Genre : Business & Economics
Kind : eBook
Book Rating : 247/5 ( reviews)

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Book Synopsis Equity Management: The Art and Science of Modern Quantitative Investing, Second Edition by : Bruce I. Jacobs

Download or read book Equity Management: The Art and Science of Modern Quantitative Investing, Second Edition written by Bruce I. Jacobs. This book was released on 2016-12-13. Available in PDF, EPUB and Kindle. Book excerpt: The classic guide to quantitative investing—expanded and updated for today’s increasingly complex markets From Bruce Jacobs and Ken Levy—two pioneers of quantitative equity management— the go-to guide to stock selection has been substantially updated to help you build portfolios in today’s transformed investing landscape. A powerful combination of in-depth research and expert insights gained from decades of experience, Equity Management, Second Edition includes 24 new peer-reviewed articles that help leveraged long-short investors and leverage-averse investors navigate today’s complex and unpredictable markets. Retaining all the content that made an instant classic of the first edition—including the authors’ innovative approach to disentangling the many factors that influence stock returns, unifying the investment process, and integrating long and short portfolio positions—this new edition addresses critical issues. Among them-- • What’s the best leverage level for long-short and leveraged long-only portfolios? • Which behavioral characteristics explain the recent financial meltdown and previous crises? • What is smart beta—and why should you think twice about using it? • How do option-pricing theory and arbitrage strategies lead to market instability? • Why are factor-based strategies on the rise? Equity Management provides the most comprehensive treatment of the subject to date. More than a mere compilation of articles, this collection provides a carefully structured view of modern quantitative investing. You’ll come away with levels of insight and understanding that will give you an edge in increasingly complex and unpredictable markets. Well-established as two of today’s most innovative thinkers, Jacobs and Levy take you to the next level of investing. Read Equity Management and design the perfect portfolio for your investing goals.

Equity Management

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Author :
Release : 2000-01
Genre : Business & Economics
Kind : eBook
Book Rating : 863/5 ( reviews)

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Book Synopsis Equity Management by : Bruce I. Jacobs

Download or read book Equity Management written by Bruce I. Jacobs. This book was released on 2000-01. Available in PDF, EPUB and Kindle. Book excerpt: This text compiles previously published, reviewed journal pieces on quantitative equity investing, and groups the works into coherent sections, allowing the reader to introduce, interpret, and integrate the material. Topics include engineering portfolios and long-short strategies.

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