Finance for Academics Finance for Academics
SpringerBriefs in Finance

Finance for Academics

A Guide to Investment for Income

    • $34.99
    • $34.99

Publisher Description

​The purpose of this book is to provide a hands-on guide to finance and investment for academics with an objective of providing strategies to maximize income, minimize fees, and legally minimize taxes.  There are many risks in finance and investment such as stock market crashes, inflation, corruption, fees and interest rates.  This book stresses that stocks and bonds are the mainstay of most investors. Dividend-growth
stocks mitigate the risk of inflation. In addition, they cost nothing once they are purchased, unlike mutual funds that have constant fees.  The author explains how to find dividend-growth stocks whose payout increase exceeds inflation and how to compound quarterly in order to make projections for future growth in the number of shares or in the value of the capital itself.  The author, in addition, discusses the value
of bond funds and master-limited partnerships for an investment portfolio.  Retirement income is a major concern for senior academics and the median level of retirement savings for those 55 to 64 is only $145,000, which is insufficient.  The author stresses the need to mix dividend-growth stocks and closed-end bond funds to fund retirement
as well as explains Roth IRAs, 401(k)s and other such tax-free forms of
retirement financing.  Finally, the book examines financial risks and shows how to mitigate them to the extent possible.  This book is a must-have for any professor or academic approaching retirement age or looking to secure their future income.​

GENRE
Business & Personal Finance
RELEASED
2012
March 27
LANGUAGE
EN
English
LENGTH
142
Pages
PUBLISHER
Springer New York
SELLER
Springer Nature B.V.
SIZE
662.5
KB
Yes, You Can Be A Successful, Income Investor! Yes, You Can Be A Successful, Income Investor!
2006
Financial Times Guide to Investing for Income, The Financial Times Guide to Investing for Income, The
2012
The Corporate Executive’s Guide to General Investing The Corporate Executive’s Guide to General Investing
2022
It's the Income, Stupid: The 7 Secrets of a Stress-Free Retirement It's the Income, Stupid: The 7 Secrets of a Stress-Free Retirement
2017
Short and Simple Guide to Smart Investing Short and Simple Guide to Smart Investing
2003
Mutual Funds for the Utterly Confused Mutual Funds for the Utterly Confused
2008
The Politics Of Regime Transitions The Politics Of Regime Transitions
2019
Berlin Between Two Worlds Berlin Between Two Worlds
2019
Collective Action Theory and Empirical Evidence Collective Action Theory and Empirical Evidence
2010
Dynamics of Conflict Dynamics of Conflict
2009
Supply Chain Finance and Blockchain Technology Supply Chain Finance and Blockchain Technology
2017
Liquidity Risk Management in Banks Liquidity Risk Management in Banks
2012
Tokenization in Real Estate Tokenization in Real Estate
2024
Quantile Regression for Cross-Sectional and Time Series Data Quantile Regression for Cross-Sectional and Time Series Data
2020
Pricing and Liquidity of Complex and Structured Derivatives Pricing and Liquidity of Complex and Structured Derivatives
2016
Real Options Illustrated Real Options Illustrated
2016