Forecast geopolitics and markets with this clear and insightful
resource Geopolitical Alpha - An Investment Framework for
Predicting the Future provides readers with an original and
compelling approach to forecasting the future and beating the
markets while doing so. Persuasively written by author, investment
strategist, and geopolitical analyst Marko Papic, the book applies
a novel framework for making sense of the cacophony of geopolitical
risks with the eye towards generating investment-relevant insights.
Geopolitical Alpha posits that investors should ignore the
media-hyped narratives, insights from "smoke-filled rooms," and
most of their political consultants and, instead, focus exclusively
on the measurable, material constraints facing policymakers. In the
tug-of-war between policymaker preferences and their constraints,
the latter always win out in the end. Papic uses a wealth of
examples from the past decade to illustrate how one can use his
constraint-framework to generate Geopolitical Alpha. In the
process, the book discusses: What paradigm shifts will drive
investment returns over the next decade Why investment and
corporate professionals can no longer treat geopolitics as an
exogenous risk How to ignore the media and focus on what drives
market narratives that generate returns Perfect for investors,
C-suite executives, and investment professionals, Geopolitical
Alpha belongs on the shelf of anyone interested in the intersection
of geopolitics, economics, and finance.
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