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出版商:
Palgrave MacMillan
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出版日期:
2026-05-02
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售價:
$2,100
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貴賓價:
9.5 折
$1,995
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語言:
英文
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頁數:
246
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裝訂:
Hardcover - also called cloth, retail trade, or trade
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ISBN:
3032131111
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ISBN-13:
9783032131119
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相關分類:
投資理財 Investment
商品描述
Markets are unpredictable, but your strategy doesn't have to be. This revised and expanded edition of Global Shocks equips individual investors with a practical framework for navigating financial crises and market shocks. Written from a practitioner's perspective, it offers clear guidance and real-world insights to help you protect and grow your portfolio when volatility strikes. Through 12 compelling case studies--from the collapse of Bretton Woods to the COVID pandemic and recent trade tensions--you'll learn how crises unfold, how policymakers respond, and how investors can position for resilience and opportunity. Explore patterns in interest and exchange rates, understand the difference between currency crises and asset bubbles, and discover strategies to limit losses and capitalize on recovery. Timely lessons. Actionable strategies. A must-read for anyone investing in uncertain times.
商品描述(中文翻譯)
市場是不可預測的,但您的策略不必如此。本書《全球衝擊》的修訂擴充版為個別投資者提供了一個實用的框架,以應對金融危機和市場衝擊。從實務者的角度撰寫,提供清晰的指導和現實世界的見解,幫助您在波動來襲時保護和增長您的投資組合。
透過12個引人入勝的案例研究——從布雷頓森林體系的崩潰到COVID疫情及近期的貿易緊張局勢——您將學習危機如何展開、政策制定者如何回應,以及投資者如何為韌性和機會做好準備。探索利率和匯率的模式,了解貨幣危機與資產泡沫之間的差異,並發現限制損失和利用復甦的策略。
及時的教訓。可行的策略。對於在不確定時期投資的任何人來說,這是一本必讀的書籍。
作者簡介
Nicholas P. Sargen is an international economist who has turned global money manager. He has been involved in international financial markets since the early 1970s, when he began his career at the U.S. Treasury and the Federal Reserve. He subsequently worked on Wall Street for 25 years, holding senior positions with Morgan Guaranty Trust, Salomon Brothers Inc., Prudential Insurance and J.P. Morgan Private Bank. In 2003 he became Chief Investment Officer for the Western & Southern Financial Group and its affiliate, Fort Washington Investment Advisors Inc. until 2014. He is currently an Economic Consultant and is affiliated with the University of Virginia's Darden School of Business. Sargen has written extensively on international financial markets, and he has authored three books. He is also a regular contributor to The Hill. He appeared frequently on business television programs throughout his career on Wall Street and was a regular panelist on Louis Rukeyser's Wall Street Week. Sargen was born and raised in the San Francisco Bay Area and received a Ph.D. in Economics from Stanford University.
作者簡介(中文翻譯)
尼古拉斯·P·薩根(Nicholas P. Sargen)是一位國際經濟學家,現已轉型為全球資金經理。他自1970年代初期便開始參與國際金融市場,當時他在美國財政部和聯邦儲備系統開始了他的職業生涯。隨後,他在華爾街工作了25年,擔任摩根保證信託(Morgan Guaranty Trust)、所羅門兄弟公司(Salomon Brothers Inc.)、保德信保險(Prudential Insurance)和摩根大通私人銀行(J.P. Morgan Private Bank)的高級職位。2003年,他成為西部與南方金融集團(Western & Southern Financial Group)及其附屬公司福特華盛頓投資顧問公司(Fort Washington Investment Advisors Inc.)的首席投資官,直到2014年。他目前是一名經濟顧問,並與維吉尼亞大學達登商學院(University of Virginia's Darden School of Business)有關聯。
薩根在國際金融市場方面撰寫了大量文章,並著有三本書籍。他也是《The Hill》的定期撰稿人。在華爾街的職業生涯中,他經常出現在商業電視節目中,並且是路易斯·魯基瑟(Louis Rukeyser)的《華爾街週》(Wall Street Week)的常駐小組成員。
薩根出生並成長於舊金山灣區,並在史丹佛大學(Stanford University)獲得經濟學博士學位。