High Risk, High Return Investing
Lawrence W. Tuller(Author)
Wiley (Publisher)
Published on 26. January 1994
Book
Hardback
272 pages
978-0-471-58093-5 (ISBN)
Description
Shows how to make unconventional, offbeat but always calculated speculative investments. Contains sound financial planning and prudent investment management guidance. Explores emerging, undervalued, third--world stock markets, debt/equity swaps and reverse LBOs. Securitized assets, troubled and start--up companies, foreclosed properties and junk bonds are also included.
More details
Language
English
Place of publication
New York
United States
Publishing group
John Wiley and Sons Ltd
Target group
Professional and scholarly
Dimensions
Height: 236 mm
Width: 162 mm
Thickness: 23 mm
Weight
560 gr
ISBN-13
978-0-471-58093-5 (9780471580935)
Copyright in bibliographic data is held by Nielsen Book Services Limited or its licensors: all rights reserved.
Schweitzer Classification
Content
A New Investment Paradigm. Getting Started. Financial Innovations. Offbeat European Equity and Debt Issues. Third World Emerging Stock Markets. Latin American Securities. Latin American Sovereign Debt. Foreign Currency and Indexes. New Public Offerings and Small--Cap Companies. Low--Grade Corporate Bonds and Bankrupt Public Companies. Penny Stocks and Business Start--Ups. Distressed Companies and Problem Bank Loans. Foreclosed Properties and Associated Debt. Offshore Private Businesses in Developing Countries. U.S. Tax Laws that Apply to Offshore Investments. Choosing a Tax Haven. Index.