Investing in BRIC Countries

  • Bank Valuation and Value Based Management Deposit and Loan Pricing Performance Evaluation and Risk M
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The professional resource every investment banker must have—the definitive guide to complying with the brand-new Basel III requirements
Anchored in the fields of economics and finance, Bank Valuation and Value Based Management, Second Edition details asset-liability management and provides rigorous foundations to discuss the control of value creation and risk in banks.
Dermine delivers a framework that addresses critical bank management issues that include fund transfer pricing, risk-adjusted performance evaluation, deposit pricing, capital management, loan pricing and provisioning, securitization, and the measurement of interest rate risk. The book also covers important topics, such as capital management methods, resolution for non-performing loans and investments, and securitization and other structured products.
Jean Dermine is the Professor of Banking and Finance at INSEAD and has taught at Wharton School of the University of Pennsylvania, the Universities of Louvain and Lausanne, CESAG, NYU, and Stockholm Schools of Economics.

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Crescenzi makes frequent appearances on CNBC, Bloomberg, and NBC’s “Wall Street Journal Report with Maria Bartiromo” and he has acted as advisor to members of the White House The author is a featured columnist for thestreet.com’s” Real Money” and has a strong professional following The book covers all major instruments and investment choices

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What promise did Sequoia Capital
recognize in SKS microfinance (India)
that it had also seen in Apple, Oracle, and
Google?

Why would Vodafone help distribute
money via cell phones for millions
of Kenyans?

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A comprehensive, practical guidebook to
bonds and the bond market

Speaking directly to the practitioner, this thorough
guide covers everything there is to know about
bonds—from basic concepts to more advanced
bond topics.

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  • Quantitative Strategies for Achieving Alpha The Standard and Poor's Approach to Testing Your Investm
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Alpha, higher-than-expected returns generated by an investment strategy, is the holy grail of the investment world. Achieve alpha, and you’ve beaten the market on a risk-adjusted basis. Quantitative Strategies for Achieving Alpha was borne from equity analyst Richard Tortoriello’s efforts to create a series of quantitative stock selection models for his company, Standard & Poor’s, and produce a “road map” of the market from a quantitative point of view.

With this practical guide, you will gain an effective instrument that can be used to improve your investment process, whether you invest qualitatively, quantitatively, or seek to combine both. Each alpha-achieving strategy has been extensively back-tested using Standard & Poor’s Compustat Point in Time database and has proven to deliver alpha over the long term. Quantitative Strategies for Achieving Alpha presents a wide variety of individual and combined investment strategies that consistently predict above-market returns. The result is a comprehensive investment mosaic that illustrates clearly those qualities and characteristics that make an investment attractive or unattractive. This valuable work contains:
A wide variety of investment strategies built around the seven basics that drive future stock market returns: profitability, valuation, cash flow generation, growth, capital allocation, price momentum, and red flags (risk)
A building-block approach to quantitative analysis based on 42
single-factor and nearly 70 two- and three-factor backtests, which
show the investor how to effectively combine individual factors into robust investment screens and models
More than 20 proven investment screens for generating winning investment ideas
Suggestions for using quantitative strategies to manage risk and for structuring your own quantitative portfolios
Advice on using quantitative principles to do qualitative investment research, including sample spreadsheets

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  • What Are The BRICS Countries
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  • When to buy Brics?
  • Emerging economies | The Economist
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Chart a course for success in the fertile terrain of BRIC investing!

The world’s largest and fastest-growing
emerging markets are those of the BRIC
nations—Brazil, Russia, India, and China.
Combined, these countries house more than
40 percent of the world’s population, and
their respective GDPs are growing at an
impressive rate.

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