Viac o knihe
Forecast geopolitics and markets with this insightful resource that offers a compelling approach to predicting the future and outperforming the markets. Authored by investment strategist and geopolitical analyst Marko Papic, the book introduces a novel framework for navigating the complexities of geopolitical risks to generate investment-relevant insights. Papic argues that investors should disregard media-driven narratives and insights from political consultants, instead concentrating on the measurable constraints that policymakers face. He emphasizes that in the struggle between policymakers' preferences and their constraints, the latter ultimately prevail. Using numerous examples from the past decade, the author demonstrates how his constraint-based framework can yield Geopolitical Alpha. The book explores critical themes such as the paradigm shifts expected to drive investment returns in the coming decade, the necessity for investment and corporate professionals to view geopolitics as an integral risk, and the importance of focusing on the underlying factors that shape market narratives. Ideal for investors, C-suite executives, and finance professionals, this resource is essential for anyone interested in the intersection of geopolitics, economics, and finance.
Nákup knihy
Geopolitical Alpha, Marko Papic
- Jazyk
- Rok vydania
- 2020
- product-detail.submit-box.info.binding
- (pevná)
Platobné metódy
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- Titul
- Geopolitical Alpha
- Jazyk
- anglicky
- Autori
- Marko Papic
- Vydavateľ
- John Wiley & Sons Inc
- Rok vydania
- 2020
- Väzba
- pevná
- Počet strán
- 256
- ISBN10
- 1119740215
- ISBN13
- 9781119740216
- Série
- Štítky
- Náučná literatúra, Spoločenské vedy, Historické téma, História, Byznys, Biznis & Manažment, Politológia & Politika, Politika, Ekonómia, Darčeky pre dedka, Financie, Medzinárodné vzťahy
- Hodnotenie
- 4,1 z 5
- Anotácia
- Forecast geopolitics and markets with this insightful resource that offers a compelling approach to predicting the future and outperforming the markets. Authored by investment strategist and geopolitical analyst Marko Papic, the book introduces a novel framework for navigating the complexities of geopolitical risks to generate investment-relevant insights. Papic argues that investors should disregard media-driven narratives and insights from political consultants, instead concentrating on the measurable constraints that policymakers face. He emphasizes that in the struggle between policymakers' preferences and their constraints, the latter ultimately prevail. Using numerous examples from the past decade, the author demonstrates how his constraint-based framework can yield Geopolitical Alpha. The book explores critical themes such as the paradigm shifts expected to drive investment returns in the coming decade, the necessity for investment and corporate professionals to view geopolitics as an integral risk, and the importance of focusing on the underlying factors that shape market narratives. Ideal for investors, C-suite executives, and finance professionals, this resource is essential for anyone interested in the intersection of geopolitics, economics, and finance.


