上週說過,“近來無端重燃對經濟學的興趣”,本週又讀了John Talbott的The 86 Biggest Lies on Wall Street。從書名猜想,此書不可能是甚麽好東西。果然。
借來兩本散文集。楊佳嫻的海風野火花讀了近10篇,始終覺得跟自己很“隔”,放棄。駱以軍的名氣很響,但我此前還未接觸過他的作品。這次是我們愉快的初遇。
從書友Ronja處得知中國書畫作品後面的題跋有跋尾與拖尾之分。
從網友抹茶糰子處得知日本老麥的咖啡full of beans。
據說,艾米的山楂樹之戀近期大熱。我兩年多前讀了,評價很簡單:以文革後期為背景的催淚純愛小說,網絡文學格局。
前輩果然學貫中西。。。
回覆刪除小人有一犀利FINANCE課程指定閱讀材料列表,可無私奉上,添增加前輩閒暇閱讀樂趣 :)
哈哈
糾正:其實想打系列。。。並非犀利二字。。。
回覆刪除好啊。即使幾十年前讀大學時,也沒有正正經經的上過finance課,最接近的恐怕已是economics of finance了。待我了解一下今天finance課程的reading list包括那些書籍論文。
回覆刪除STRATEGIC ASSET ALLOCATION:
回覆刪除Prescribed texts (據說此書也為高盛指定材料)
Swensen, Davis, F., 2000, Pioneering Portfolio Management An Unconventional Approach to Institutional Investment, The Free Press, New York.
Recommended text
Edwin J. Elton, Martin J. Gruber, Stephen J. Brown, William N. Goetzmann, 2010, Modern Portfolio Theory and Investment Analysis, 8th edition, John Wiley and Sons Ltd , NJ.
Useful texts
Campbell, J. Y. and Viceira, L. M., 2002, Strategic Asset Allocation Portfolio Choice for Long-Term Investors, Oxford University Press Inc, New York. (Difficult though worth the effort)
Copeland, T. E., Weston, J. F. and Shastri, K., 2005, Financial Theory and Corporate Policy, 4th Edition, Pearson Addison Wesley, Boston.
Elton, E.J. and Gruber, M.J., Modern Portfolio Theory and Investment Analysis, (Most recent edition), John Wiley & Sons. (Pitched at advanced undergraduate or postgraduate students)
Sharpe, W. F., 2007, Investors and markets, Portfolio Choices, Asset Prices, and Investment Advice, Princeton University Press, Princeton and Oxford. (Pitched at practitioners and post graduate students)
可惜本人公務繁忙,不能一一盡讀,只求混過PASS。。。請勿見笑