The Standard & Poor's Guide to Long-term Investing
Author: Joseph Tigue
Publisher: McGraw Hill Professional
Published: 2004
Total Pages: 180
ISBN-13: 9780071410359
DOWNLOAD EBOOK →Publisher Description
Author: Joseph Tigue
Publisher: McGraw Hill Professional
Published: 2004
Total Pages: 180
ISBN-13: 9780071410359
DOWNLOAD EBOOK →Publisher Description
Author: Nilus Mattive
Publisher: McGraw Hill Professional
Published: 2003-11-07
Total Pages: 226
ISBN-13: 0071611797
DOWNLOAD EBOOK →VALUABLE ADVICE FOR INVESTORS OF ALL TYPES FROM STANDARD & POOR'S, TODAY'S MOST TRUSTED RESOURCE FOR RELIABLE INVESTMENT INFORMATION Standard & Poor's brings the impressive knowledge and resources of Standard & Poor's to some of today's most challenging financial issues. Covering subjects from saving for college to technical analysis to risk management, books in the series will give both independent and institutional investors the knowledge they need to dramatically improve their overall financial decisions. Knowledge and insights new investors need to build wealth without risking what they already have Even veteran investors often can be confused by today's markets. So, where does that leave beginners? The Standard & Poor's Guide for the New Investor provides novice investors with solid, insightful Standard & Poor's data and research to help them make sense of investing in post-bubble markets and is the perfect introductory resource for those looking to smooth the transition from low-return savings accounts to high-return, long-term investing. Covering everything from basic stock investing rules and strategies to technical analysis and other advanced tools and techniques, this straightforward book provides investors with the knowledge they need to both manage their money today and invest it for the future. Discussing vehicles from stocks and bonds to mutual funds and even derivatives, it uses a simple, conversational style to explain: Tips for living within one's means Stock investing strategies from basic to more advanced All about 401(k)s, IRAs, and other retirement plans
Author: Joseph Tigue
Publisher:
Published: 2004
Total Pages: 159
ISBN-13:
DOWNLOAD EBOOK →Contains steps to making money in stock market without risking what you already have. This book explains: strategies for knowing what you are buying - and only buying what you know, methods for knowing if a stock is overvalued or selling at a discount, and asset allocation and dollar cost averaging.
Author: Standard & Poor's
Publisher: McGraw-Hill Companies
Published: 2004-12
Total Pages: 1038
ISBN-13: 9780071457491
DOWNLOAD EBOOK →Provides data and analysis of the companies in the world-famous S&P 500 index, one of the most watched financial indexes in the world. This title provides top investment professionals with information on earnings, dividends, and share prices; stock picks in various categories; and company addresses and numbers, along with names of top officers.
Author: Virginia B. Morris
Publisher: Lightbulb Press, Inc.
Published: 2005
Total Pages: 195
ISBN-13: 0976474980
DOWNLOAD EBOOK →An all-new personal finance guide from the authors/creators ofThe Wall Street Journal Guide to Understanding Money and Investing First in a new series based on information from Standard & Poor’s—the leading financial information organization—Standard & Poor’s Guide to Money & Investingdemystifies the world of stocks, bonds, mutual funds, futures, and options, empowering you to make informed investment decisions, measure your performance, and evaluate the risks and rewards. Completely up-to-date to reflect significant changes in investing due to new technologies and the Internet, this concise, easy-to-read guide explains how to understand the markets, evaluate companies, and spot trends to invest for success. Also covered are forces driving the economy and the roles of institutions from the Federal Reserve to multinational banks to the stock exchanges.
Author: Joseph Tigue
Publisher: McGraw Hill Professional
Published: 2006-03-31
Total Pages: 288
ISBN-13: 0071487085
DOWNLOAD EBOOK →Improve your investment returns with expert advice from the world's leading financial information organization Investors are rediscovering the profitable advantages of dividend-paying stocks, due to the "bird in the hand" nature of regular dividend payments, dramatically reduced historical volatility, and the current reduction in the federal dividend tax rate. The Standard & Poor's Guide to Building Wealth with Dividend Stocks tackles all the key issues for adding the stability and performance of dividend stocks to your portfolio, providing hands-on techniques for identifying the best dividend-paying stocks and companies, using dividend tax law changes to improve returns, and implementing innovative dividend stock strategies.
Author: Standard & Poor's
Publisher: McGraw-Hill Companies
Published: 2000-12
Total Pages: 1060
ISBN-13:
DOWNLOAD EBOOK →Individual investors, money managers, analysts, brokers, and financial writers and editors all turn to Standard & Poor's for securities information that is second to none. This updated volume includes exclusive rankings and details on America's top companies and their stocks.
Author: Standard and Poors Corporation Staff
Publisher: McGraw-Hill Companies
Published: 2001
Total Pages: 502
ISBN-13:
DOWNLOAD EBOOK →Fully updated for 2001, a complete directory and performance guide for over 14,000 stocks, bonds, and mutual funds. This latest edition includes essential performance data on over 6000 stocks, 7000 bonds, and 700 mutual funds - combining the contents from tow of S&P's flagship publications.
Author: Michael Kaye
Publisher: McGraw Hill Professional
Published: 2007-10-11
Total Pages: 241
ISBN-13: 0071479341
DOWNLOAD EBOOK →Many people devote their time to choosing “the right” stocks. Yet they bypass an important step that will have an even greater impact on their portfolio’s performance: asset allocation. The Standard & Poor’s Guide to the Perfect Portfolio is the definitive road map to diversifying your financial holdings in order to get the highest returns with the lowest risk and ensure a secure financial future. You can beat 90% of money managers with a properly balanced portfolio of mixed investment classes. Investment expert and columnist Michael Kaye presents a clear and reliable approach to asset allocation. He helps investors at every level to better understand all the major investment products available and how to best use them to achieve investor’s specific goals. Kaye shows you five essential steps to allocate your assets: Identify your goals and objectives Choose the right asset classes for your portfolio Determine how much of your assets belong in each class Pick your investment products Monitor your portfolio and make adjustments as needed The Standard & Poor’s Guide to the Perfect Portfolio is packed with examples of portfolio mixes that illustrate many ways to balance your assets based on different risk profiles and investment goals. A range of relevant, reliable advice shows you how to successfully consider such factors as where you are in your career, what your financial needs are, and your personal tolerance to risk.
Author: Sam Stovall
Publisher: McGraw-Hill Companies
Published: 1995-01-01
Total Pages: 253
ISBN-13: 9780070617179
DOWNLOAD EBOOK →This first in-depth guide to sector investing combines how-to knowledge with a wealth of data never before available in bookstores. It explains sector investing and the factors that influence various industries. Includes reports on 80 industries that provide analysis and investment forecasts by S&P analysts and specific stock recommendations using S&P STARS rankings.