Portfolio Society

Portfolio Society

Author: Ivan Ascher

Publisher: MIT Press

Published: 2016-09-02

Total Pages: 193

ISBN-13: 1935408747

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A bold extension of Marx's Capital for the twenty-first century: at once a critique of modern finance and of the societies under its spell. As financial markets expand and continue to refashion the world in their own image, the wealth of capitalist societies no longer presents itself, as it did to Karl Marx in the nineteenth century, as a “monstrous collection of commodities.” Instead, it appears as an equally monstrous collection of financial securities, and the critique of political economy must proceed accordingly. But what would it mean to write Capital in the twenty-first century? Are we really to believe that risk, rather than labor, is now regarded as the true fount of economic value? Can it truly be the case that the credit relation—at least in the global North—has replaced the wage relation as the key site of exploitation and political struggle? And finally, if precarity is indeed the name of today's proletarian condition, what possible future does it actually portend, what analysis does it require? Through a series of creative substitutions, in Portfolio Society Ivan Ascherextends Marx's critical project in bold and unexpected ways. Ascher not only explains some of the often mystifying processes of contemporary finance, he also invites us to consider what becomes of capitalism itself in those places where the relation of capital to its own future is now mediated by financial markets. In the end, we may find that much has changed and much has not; relations of domination endure, and mystifications abound, but the devil is in the details, and that is where Ascher directs our attention. At once a critique of modern finance and of the societies under its spell, Portfolio Society succeeds in revealing the potential limits of Capital, while reveling still in its limitless potential.


Advances in Investment Analysis and Portfolio Management (New Series) Vol.7

Advances in Investment Analysis and Portfolio Management (New Series) Vol.7

Author: Cheng F. Lee

Publisher: Center for PBBEFR & Airiti Press

Published: 2016-01-01

Total Pages:

ISBN-13: 9864370480

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Advances in Investment Analysis and Portfolio Management (New Series) is an annual publication designed to disseminate developments in the area of investment analysis and portfolio management. The publication is a forum for statistical and quantitative analyses of issues in security analysis, portfolio management, options, futures, and other related issues. The objective is to promote interaction between academic research in finance, economics, and accounting and applied research in the financial community.


Advances in Investment Analysis and Portfolio Management (New Series) Vol.5

Advances in Investment Analysis and Portfolio Management (New Series) Vol.5

Author: Cheng F. Lee

Publisher: Center for PBBEFR & Airiti Press

Published: 2012-04-01

Total Pages:

ISBN-13: 9866286215

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Advances in Investment Analysis and Portfolio Management (New Series) is an annual publication designed to disseminate developments in the area of investment analysis and portfolio management. The publication is a forum for statistical and quantitative analyses of issues in security analysis, portfolio management, options, futures, and other related issues. The objective is to promote interaction between academic research in finance, economics, and accounting and applied research in the financial community.


Advances in Investment Analysis and Portfolio Management (New Series) Vol.9

Advances in Investment Analysis and Portfolio Management (New Series) Vol.9

Author: Cheng F. Lee

Publisher: Center for PBBEFR & Ainosco Press

Published: 2019-01-01

Total Pages:

ISBN-13: 9864371746

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Advances in Investment Analysis and Portfolio Management (New Series) is an annual publication designed to disseminate developments in the area of investment analysis and portfolio management. The publication is a forum for statistical and quantitative analyses of issues in security analysis, portfolio management, options, futures, and other related issues. The objective is to promote interaction between academic research in finance, economics, and accounting and applied research in the financial community.


Developing and Maintaining a Design-Tech Portfolio: A Guide for Theatre, Film & TV

Developing and Maintaining a Design-Tech Portfolio: A Guide for Theatre, Film & TV

Author: Rafael Jaen

Publisher: Taylor & Francis

Published: 2014-06-20

Total Pages: 197

ISBN-13: 1136085092

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This book is a practical guide to aid in the process of creating, developing and presenting successful Theatre/TV/Film design/technology portfolios in the fields of scenery, costumes, lighting and sound. The book will consist of four sections or chapters. The first section is dedicated to the realization of effective portfolio showcases and it will identify materials and techniques used to produce them. This chapter will also identify specific requirements by discipline including scenery, costumes, lighting and sound and will cover the different portfolio requirements to apply for graduate school, jobs in the field, professional organizations and for promotional purposes. The second section is dedicated to the development and use of digital portfolios and it will look at the different software used in this area. The third chapter is about presentation and marketing and it will describe how to develop personal presentation techniques, resume, business card, and web pages. Finally, the fourth section offers key information in regards to the maintenance and updating of portfolios. Each chapter will feature real samples from the professional field and a page of "do's and don'ts with comments from experts in each design-tech discipline.


Advances in Investment Analysis and Portfolio Management (New Series) Vol.8

Advances in Investment Analysis and Portfolio Management (New Series) Vol.8

Author: Cheng F. Lee

Publisher: Center for PBBEFR & Airiti Press

Published: 2017-01-01

Total Pages:

ISBN-13: 9864371401

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Advances in Investment Analysis and Portfolio Management (New Series) is an annual publication designed to disseminate developments in the area of investment analysis and portfolio management. The publication is a forum for statistical and quantitative analyses of issues in security analysis, portfolio management, options, futures, and other related issues. The objective is to promote interaction between academic research in finance, economics, and accounting and applied research in the financial community.


Advances in Investment Analysis and Portfolio Management (New Series) Vol.6

Advances in Investment Analysis and Portfolio Management (New Series) Vol.6

Author: Cheng F. Lee

Publisher: Center for PBBEFR & Airiti Press

Published: 2014-01-01

Total Pages:

ISBN-13: 9865792869

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Advances in Investment Analysis and Portfolio Management (New Series) is an annual publication designed to disseminate developments in the area of investment analysis and portfolio management. The publication is a forum for statistical and quantitative analyses of issues in security analysis, portfolio management, options, futures, and other related issues. The objective is to promote interaction between academic research in finance, economics, and accounting and applied research in the financial community.


Show Case

Show Case

Author: Rafael Jaen

Publisher: Taylor & Francis

Published: 2012

Total Pages: 266

ISBN-13: 0240819268

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Your theatrical portfolio will earn a standing ovation with guidance from this industry expert!


SEC Docket

SEC Docket

Author: United States. Securities and Exchange Commission

Publisher:

Published: 1996

Total Pages: 1180

ISBN-13:

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Quantitative Equity Portfolio Management

Quantitative Equity Portfolio Management

Author: Edward E. Qian

Publisher: CRC Press

Published: 2007-05-11

Total Pages: 462

ISBN-13: 1420010794

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Quantitative equity portfolio management combines theories and advanced techniques from several disciplines, including financial economics, accounting, mathematics, and operational research. While many texts are devoted to these disciplines, few deal with quantitative equity investing in a systematic and mathematical framework that is suitable for