Quality Investing

PRAISE FOR QUALITY INVESTING “Investing is a continuous process of learning, and it will be a rare investor who does not glean substantive lessons from the notable AKO story of quality investing.” – Stephen Blyth, President and CEO, ...

Quality Investing

Quality Investing

Quality. We all make judgments about it every day. Yet articulating a clear definition of quality in an investing context is challenging. This book addresses the challenge, and distills years of practical investing experience into a definitive account of this under-explored investment philosophy. Finance theory has it that abnormal outcomes do not persist, that exceptional performance will soon enough become average performance. Quality investing involves seeking companies with the right attributes to overcome these forces of mean reversion and, crucially, owning these outstanding companies for the long term. This book pinpoints and explains the characteristics that increase the probability of a company prospering over time - as well as those that hinder such chances. Throughout, a series of fascinating real-life case studies illustrate the traits that signify quality, as well as some that flatter to deceive. The authors' firm, AKO Capital, has a strong track record of finding and investing in quality companies - helping it deliver a compound annual growth rate more than double that of the market since inception. Quality Investing sheds light on the investment philosophy, processes and tough lessons that have contributed to this consistent outperformance.

More Books:

Quality Investing
Language: en
Pages: 350
Authors: Torkell T. Eide, Lawrence A. Cunningham, Patrick Hargreaves
Categories: Business & Economics
Type: BOOK - Published: 2016-01-05 - Publisher: Harriman House Limited

Quality. We all make judgments about it every day. Yet articulating a clear definition of quality in an investing context is challenging. This book addresses the challenge, and distills years of practical investing experience into a definitive account of this under-explored investment philosophy. Finance theory has it that abnormal outcomes
Risk-Based and Factor Investing
Language: en
Pages: 486
Authors: Emmanuel Jurczenko
Categories: Business & Economics
Type: BOOK - Published: 2015-11-24 - Publisher: Elsevier

This book is a compilation of recent articles written by leading academics and practitioners in the area of risk-based and factor investing (RBFI). The articles are intended to introduce readers to some of the latest, cutting edge research encountered by academics and professionals dealing with RBFI solutions. Together the authors
Equity Smart Beta and Factor Investing for Practitioners
Language: en
Pages: 496
Authors: Khalid Ghayur, Ronan G. Heaney, Stephen C. Platt
Categories: Business & Economics
Type: BOOK - Published: 2019-05-29 - Publisher: John Wiley & Sons

A guide to the popular and fast growing investment opportunities of smart beta Equity Smart Beta and Factor Investing for Practitioners offers a hands-on guide to the popular investment opportunities of smart beta, which is one of the fastest growing areas within the global equity asset class. This well-balanced book
Derivatives
Language: en
Pages:
Authors: Khalid Ghayur, Ronan G. Heaney, Stephen C. Platt
Categories: Business & Economics
Type: BOOK - Published: - Publisher: PediaPress

Books about Derivatives
Country Asset Allocation
Language: en
Pages: 262
Authors: Adam Zaremba, Jacob Shemer
Categories: Business & Economics
Type: BOOK - Published: 2016-10-26 - Publisher: Springer

This book demonstrates how quantitative country-level investment strategies can be successfully employed to manage money in international markets. It offers a range of state-of-the-art quantitative strategies, describing their theoretical bases, implementation details, and performance in over 70 countries between 1995 and 2015. International diversification has long been a key to