Investing in frontier markets : opportunity, risk and role in an investment portfolio / / Gavin Graham and Al Emid ; executive editor, Karen Milner ; managing editor, Alison Maclean ; production editors, Pamela Vokey and Melissa Lopez |
Autore | Graham Gavin |
Edizione | [1st edition] |
Pubbl/distr/stampa | Toronto, Canada : , : John Wiley & Sons Canada, Ltd., , 2013 |
Descrizione fisica | 1 online resource (258 p.) |
Disciplina | 332.673 |
Altri autori (Persone) |
EmidAl
MilnerKaren MacleanAlison |
Collana | Wiley finance series |
Soggetto topico | Investments, Foreign - Developing countries |
Soggetto genere / forma | Electronic books. |
ISBN |
1-118-55633-X
1-118-55634-8 |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover; Title Page; Copyright; Contents; Acknowledgments; Foreword; Chapter 1 Introducing Emerging and Frontier Markets; Emerging Markets; Frontier Markets; Chapter 2 Frontier Markets by Region; Measures Used in this Chapter; Asia; Africa; Eastern Europe; Latin America; Middle East and North Africa (MENA); Exotic Frontier Markets; Chapter 3 Volatility: Not the Same as Risk; Lessening Volatility in Emerging and Frontier Markets; Correlations to Other Markets (and Lack Thereof); Structural Reasons for Higher Volatility; Chapter 4 Solid Investment Information vs. Media Images
The Middle East: Not All in Conflict Vietnam: A Long-term Bet; Kenya: A Slow Reduction in Risk; Kazakhstan: Borat Painted the Wrong Picture; Bangladesh: Not a Basket Case; Serbia: A Promising Candidate; Sierra Leone: No Longer War Torn; Conclusion; Chapter 5 Economic Strengths of Emerging and Frontier Markets; Returns from Emerging Markets; The Lack of Correlation between GDP Growth and Equity Returns; Chapter 6 Past Emerging Market Upheavals and What They Can Teach Frontier Market Investors; Argentinean Default of 2001; Mexican Devaluation of 1995; Asian Meltdown of 1997-98 Russian Debt Default of 1998 Brazilian Devaluation of 1999; The Place of Fixed Income in the Emerging and Frontier Equation; Chapter 7 The Global Investment Landscape: Why Developed Markets Appear Unattractive at Present; Canada; The United States; Europe; Chapter 8 Online Trading in Emerging and Frontier Markets and Why It's a Bad Idea; The Dangerous Appeal of Going It Alone; The Risks of Online Trading; Professional Advisors and Online Trading; Chapter 9 The Changing Role of Financial Advisors; Responding to Increased Challenges after the Financial Crisis of 2008-09; Accepting Volatility Coping with Increased Reliance on Financial Advisors Convincing Hesitant Clients; Chapter 10 Different Ways to Invest in Frontier Markets: ETFs, ADRs, Local Stocks and Closed-end Mutual Funds; Exchange-traded Funds; Regional Funds; Sector Funds; Single-country Funds; Multinational Companies with Large Emerging Market Exposure; Frontier Market American Depository Receipts; Global Frontier Funds; Conclusion; Appendix: Frontier Market Open-end Funds as of May 2013; Global Frontier Funds; Emerging European Ex-Russia Funds; African Funds; Middle East and North Africa (MENA) Funds; Index |
Record Nr. | UNINA-9910453680803321 |
Graham Gavin | ||
Toronto, Canada : , : John Wiley & Sons Canada, Ltd., , 2013 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
|
Investing in frontier markets : opportunity, risk and role in an investment portfolio / / Gavin Graham and Al Emid ; executive editor, Karen Milner ; managing editor, Alison Maclean ; production editors, Pamela Vokey and Melissa Lopez |
Autore | Graham Gavin |
Edizione | [1st edition] |
Pubbl/distr/stampa | Toronto, Canada : , : John Wiley & Sons Canada, Ltd., , 2013 |
Descrizione fisica | 1 online resource (258 p.) |
Disciplina | 332.673 |
Altri autori (Persone) |
EmidAl
MilnerKaren MacleanAlison |
Collana | Wiley finance series |
Soggetto topico | Investments, Foreign - Developing countries |
ISBN |
1-118-55633-X
1-118-55634-8 |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover; Title Page; Copyright; Contents; Acknowledgments; Foreword; Chapter 1 Introducing Emerging and Frontier Markets; Emerging Markets; Frontier Markets; Chapter 2 Frontier Markets by Region; Measures Used in this Chapter; Asia; Africa; Eastern Europe; Latin America; Middle East and North Africa (MENA); Exotic Frontier Markets; Chapter 3 Volatility: Not the Same as Risk; Lessening Volatility in Emerging and Frontier Markets; Correlations to Other Markets (and Lack Thereof); Structural Reasons for Higher Volatility; Chapter 4 Solid Investment Information vs. Media Images
The Middle East: Not All in Conflict Vietnam: A Long-term Bet; Kenya: A Slow Reduction in Risk; Kazakhstan: Borat Painted the Wrong Picture; Bangladesh: Not a Basket Case; Serbia: A Promising Candidate; Sierra Leone: No Longer War Torn; Conclusion; Chapter 5 Economic Strengths of Emerging and Frontier Markets; Returns from Emerging Markets; The Lack of Correlation between GDP Growth and Equity Returns; Chapter 6 Past Emerging Market Upheavals and What They Can Teach Frontier Market Investors; Argentinean Default of 2001; Mexican Devaluation of 1995; Asian Meltdown of 1997-98 Russian Debt Default of 1998 Brazilian Devaluation of 1999; The Place of Fixed Income in the Emerging and Frontier Equation; Chapter 7 The Global Investment Landscape: Why Developed Markets Appear Unattractive at Present; Canada; The United States; Europe; Chapter 8 Online Trading in Emerging and Frontier Markets and Why It's a Bad Idea; The Dangerous Appeal of Going It Alone; The Risks of Online Trading; Professional Advisors and Online Trading; Chapter 9 The Changing Role of Financial Advisors; Responding to Increased Challenges after the Financial Crisis of 2008-09; Accepting Volatility Coping with Increased Reliance on Financial Advisors Convincing Hesitant Clients; Chapter 10 Different Ways to Invest in Frontier Markets: ETFs, ADRs, Local Stocks and Closed-end Mutual Funds; Exchange-traded Funds; Regional Funds; Sector Funds; Single-country Funds; Multinational Companies with Large Emerging Market Exposure; Frontier Market American Depository Receipts; Global Frontier Funds; Conclusion; Appendix: Frontier Market Open-end Funds as of May 2013; Global Frontier Funds; Emerging European Ex-Russia Funds; African Funds; Middle East and North Africa (MENA) Funds; Index |
Record Nr. | UNINA-9910790881603321 |
Graham Gavin | ||
Toronto, Canada : , : John Wiley & Sons Canada, Ltd., , 2013 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
|
Investing in frontier markets : opportunity, risk and role in an investment portfolio / / Gavin Graham and Al Emid ; executive editor, Karen Milner ; managing editor, Alison Maclean ; production editors, Pamela Vokey and Melissa Lopez |
Autore | Graham Gavin |
Edizione | [1st edition] |
Pubbl/distr/stampa | Toronto, Canada : , : John Wiley & Sons Canada, Ltd., , 2013 |
Descrizione fisica | 1 online resource (258 p.) |
Disciplina | 332.673 |
Altri autori (Persone) |
EmidAl
MilnerKaren MacleanAlison |
Collana | Wiley finance series |
Soggetto topico | Investments, Foreign - Developing countries |
ISBN |
1-118-55633-X
1-118-55634-8 |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Cover; Title Page; Copyright; Contents; Acknowledgments; Foreword; Chapter 1 Introducing Emerging and Frontier Markets; Emerging Markets; Frontier Markets; Chapter 2 Frontier Markets by Region; Measures Used in this Chapter; Asia; Africa; Eastern Europe; Latin America; Middle East and North Africa (MENA); Exotic Frontier Markets; Chapter 3 Volatility: Not the Same as Risk; Lessening Volatility in Emerging and Frontier Markets; Correlations to Other Markets (and Lack Thereof); Structural Reasons for Higher Volatility; Chapter 4 Solid Investment Information vs. Media Images
The Middle East: Not All in Conflict Vietnam: A Long-term Bet; Kenya: A Slow Reduction in Risk; Kazakhstan: Borat Painted the Wrong Picture; Bangladesh: Not a Basket Case; Serbia: A Promising Candidate; Sierra Leone: No Longer War Torn; Conclusion; Chapter 5 Economic Strengths of Emerging and Frontier Markets; Returns from Emerging Markets; The Lack of Correlation between GDP Growth and Equity Returns; Chapter 6 Past Emerging Market Upheavals and What They Can Teach Frontier Market Investors; Argentinean Default of 2001; Mexican Devaluation of 1995; Asian Meltdown of 1997-98 Russian Debt Default of 1998 Brazilian Devaluation of 1999; The Place of Fixed Income in the Emerging and Frontier Equation; Chapter 7 The Global Investment Landscape: Why Developed Markets Appear Unattractive at Present; Canada; The United States; Europe; Chapter 8 Online Trading in Emerging and Frontier Markets and Why It's a Bad Idea; The Dangerous Appeal of Going It Alone; The Risks of Online Trading; Professional Advisors and Online Trading; Chapter 9 The Changing Role of Financial Advisors; Responding to Increased Challenges after the Financial Crisis of 2008-09; Accepting Volatility Coping with Increased Reliance on Financial Advisors Convincing Hesitant Clients; Chapter 10 Different Ways to Invest in Frontier Markets: ETFs, ADRs, Local Stocks and Closed-end Mutual Funds; Exchange-traded Funds; Regional Funds; Sector Funds; Single-country Funds; Multinational Companies with Large Emerging Market Exposure; Frontier Market American Depository Receipts; Global Frontier Funds; Conclusion; Appendix: Frontier Market Open-end Funds as of May 2013; Global Frontier Funds; Emerging European Ex-Russia Funds; African Funds; Middle East and North Africa (MENA) Funds; Index |
Record Nr. | UNINA-9910828948603321 |
Graham Gavin | ||
Toronto, Canada : , : John Wiley & Sons Canada, Ltd., , 2013 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
|