Geopolitical Alpha: An Investment Framework for Predicting the Future
暫譯: 地緣政治阿爾法:預測未來的投資框架
Papic, Marko, Drobny, Steven
- 出版商: Wiley
- 出版日期: 2025-12-16
- 售價: $1,050
- 貴賓價: 9.5 折 $998
- 語言: 英文
- 裝訂: Quality Paper - also called trade paper
- ISBN: 1394377924
- ISBN-13: 9781394377923
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相關分類:
投資理財 Investment
尚未上市,無法訂購
相關主題
商品描述
Forecast geopolitics and markets with this clear and insightful resource
Geopolitical Alpha - An Investment Framework for Predicting the Future provides readers with an original and compelling approach to forecasting the future and beating the markets while doing so. Persuasively written by author, investment strategist, and geopolitical analyst Marko Papic, the book applies a novel framework for making sense of the cacophony of geopolitical risks with the eye towards generating investment-relevant insights.
Geopolitical Alpha posits that investors should ignore the media-hyped narratives, insights from "smoke-filled rooms," and most of their political consultants and, instead, focus exclusively on the measurable, material constraints facing policymakers. In the tug-of-war between policymaker preferences and their constraints, the latter always win out in the end. Papic uses a wealth of examples from the past decade to illustrate how one can use his constraint-framework to generate Geopolitical Alpha. In the process, the book discusses:
- What paradigm shifts will drive investment returns over the next decade
- Why investment and corporate professionals can no longer treat geopolitics as an exogenous risk
- How to ignore the media and focus on what drives market narratives that generate returns
Perfect for investors, C-suite executives, and investment professionals, Geopolitical Alpha belongs on the shelf of anyone interested in the intersection of geopolitics, economics, and finance.
商品描述(中文翻譯)
利用這本清晰且具洞察力的資源預測地緣政治與市場
地緣政治阿爾法 - 預測未來的投資框架為讀者提供了一種原創且引人入勝的方法,以預測未來並在此過程中超越市場。這本書由作者、投資策略師及地緣政治分析師Marko Papic撰寫,運用一個新穎的框架來理解地緣政治風險的喧囂,並著眼於產生與投資相關的洞察。
地緣政治阿爾法主張投資者應該忽略媒體炒作的敘事、來自「煙霧彌漫的房間」的見解,以及大多數政治顧問的意見,而應專注於面對政策制定者的可衡量、實質性限制。在政策制定者的偏好與其限制之間的拔河中,後者最終總是會勝出。Papic利用過去十年的豐富例子來說明如何使用他的限制框架來產生地緣政治阿爾法。在此過程中,書中討論了:
- 未來十年將驅動投資回報的範式轉變
- 為什麼投資和企業專業人士不再能將地緣政治視為外生風險
- 如何忽略媒體,專注於驅動市場敘事的因素,以產生回報
這本書非常適合投資者、高層主管及投資專業人士,地緣政治阿爾法應該成為任何對地緣政治、經濟和金融交集感興趣的人的書架上的必備書籍。
作者簡介
MARKO PAPIC is a Partner and Chief Strategist of Clocktower Group, an alternative investment management firm based in California. In 2011, he founded BCA Research's Geopolitical Strategy practice, the world's only dedicated investment consultancy focused on political analysis.
作者簡介(中文翻譯)
馬可·帕皮克是位於加州的替代投資管理公司Clocktower Group的合夥人及首席策略師。2011年,他創立了BCA Research的地緣政治策略部門,這是全球唯一專注於政治分析的投資顧問機構。