1.

Record Nr.

UNINA9911047707003321

Autore

Chen Shuai

Titolo

Decoding the Market : Cycles, Valuations, and Strategies / / by Shuai Chen

Pubbl/distr/stampa

Singapore : , : Springer Nature Singapore : , : Imprint : Springer, , 2025

ISBN

9789819530649

Edizione

[1st ed. 2025.]

Descrizione fisica

1 online resource (313 pages)

Collana

Management for Professionals, , 2192-810X

Disciplina

338.5

Soggetti

Microeconomics

International economic integration

Globalization

Market Structure and Economic Design

Emerging Markets and Globalization

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia

Nota di contenuto

Part I: Decoding Markets -- Chapter 1. Cycle -- Chapter 2. Economy -- Chapter 3. Inflation -- Chapter 4. Population -- Chapter 5. Technology -- Chapter 6. Government Policy -- Chapter 7. Nation Competitions -- Chapter 8. Geopolitics -- Chapter 9. Housing -- Chapter 10. Financial Crisis -- Part II: Decoding Techniques -- Chapter 11. Return and Risk -- Chapter 12. Valuation -- Chapter 13. Business Model -- Chapter 14. Financial Frauds -- Chapter 15. Behaviour Finance -- Chapter 16. Quantitative Trading -- Chapter 17. Technical Analysis -- Chapter 18. Shorting -- Part III: Decoding Investments -- Chapter 19. Equity -- Chapter 20- Fixed Income -- Chapter 21. Indices and ETFs -- Chapter 22. Forex -- Chapter 23. Gold -- Chapter 24. Alternative Investment -- Chapter 25. Cryptocurrency.

Sommario/riassunto

Decoding the Market: Cycles, Valuations, and Strategies offers investors a clear framework to understand the deeper forces shaping today’s financial world. Moving beyond short-term market noise, it examines the structural drivers of investment outcomes—economic cycles, valuation frameworks, geopolitics, demographics, policy shifts, and technological change—while also equipping readers with tools to interpret financial statements, assess risk, understand business



models, and apply insights from behavioral finance and quantitative methods. Covering equities, bonds, gold, foreign exchange, ETFs, and cryptocurrencies, the book explores the risk-return characteristics of major asset classes and provides practical strategies for navigating different market environments. With its clear structure, actionable analysis, and balance of theory and practice, this book empowers readers to make rational decisions, avoid common pitfalls, and seize opportunities across market cycles. Accessible yet deeply insightful, it is an essential guide for anyone seeking confidence, discipline, and foresight in investing—and a roadmap to achieving long-term success in an uncertain world.