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Since 1945, the Financial Analysts Journal has been advancing the practice of investment management through the publication of high-quality, practitioner-relevant research.
CFA Institute Magazine is a quarterly, practice-based, professional member magazine. It is sent to all CFA Institute members in March, June, September, and December.
The distinction between brokers and investment advisers has become increasingly blurred over the past 30 years. Through a review of market history, literature, and general principles from fiduciary relationships, some simple concepts emerge that could help investment professionals navigate the conflicts of interest that are inevitable given the often blended roles that they play in the financial markets.
The past 50 years have seen an abundance of research on retirement planning and longevity risk. Reviewed here is the academic side of the research and its varied viewpoints and nuances. The evolution of retirement risk models, retirement portfolio problems and solutions, and annuities are some of the many topics covered.
Chapter 1. Equity Valuation: Applications & Processes Chapter 2. Return Concepts Chapter 3. Introduction to Industry and Company Analysis Chapter 4. Industry and Company Analysis Chapter 5. Discounted Dividend Valuation Chapter 6. Free Cash Flow Valuation Chapter 7. Market-Based Valuation: Price and Enterprise Value Multiples Chapter 8. Residual Income Valuation Chapter 9. Private Company Valuation
The third edition of the Global Investment Performance Standards (GIPS?) Handbook, which replaces the 2006 version, reflects the updated GIPS provisions adopted in 2010 and provides updated interpretive guidance for each provision, as well as applications and selected questions and answers.
学院地址:四川成都温江柳台大道555号格致楼3楼-5楼 邮编:611130(柳林校区)四川成都光华村街55号