Home > Business & Economics > Economics > Macroeconomics > Monetary economics > Investieren im Zeitalter exzessiver Staatsverschuldung, ultraexpansiver Geldpolitik und zunehmender Schuldenschnitte: Wer kein kontrolliertes Risiko nimmt, verliert!
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Investieren im Zeitalter exzessiver Staatsverschuldung, ultraexpansiver Geldpolitik und zunehmender Schuldenschnitte: Wer kein kontrolliertes Risiko nimmt, verliert!

Investieren im Zeitalter exzessiver Staatsverschuldung, ultraexpansiver Geldpolitik und zunehmender Schuldenschnitte: Wer kein kontrolliertes Risiko nimmt, verliert!

          
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About the Book

Der exorbitante Anstieg der Staatsverschuldung in vielen entwickelten Volkswirtschaften als Folge der Finanzkrise und die hyperexpansive Geldpolitik in diesen Ländern sind in ihrer Dimension historisch einmalig und in Wirkungen und Konsequenzen ungetestet. Die damit einhergehende fiskalische und monetäre Hyperexpansion geht bereits in ihr siebtes Jahr nach dem Lehman-Desaster und ist längst nicht mehr unumstritten. Die Anleger sollten in Zeiten von Staatsschuldenkrisen und einer zunehmenden Politisierung der Geldpolitik bzw. dem schleichenden Verlust der Unabhängigkeit der Zentralbanken in der entwickelten Welt die Anteile staatsferner Investments so weit erhöhen, wie es die Regularien und Risikobudgets zulassen.
About the Author: Helmut Kaiser ist Managing Director und Chefanlageberater in der Vermögensverwaltung der Deutsche Bank AG in Frankfurt. Der promovierte Volkswirt startete seine Karriere als wissenschaftlicher Mitarbeiter an der Universität Frankfurt und der London School of Economics, bevor er 1990 zur Deutschen Bank kam. Von 2003 bis 2011 verantwortete Kaiser die globale Anlagestrategie für die vermögenden Privatkunden im Private Wealth Management der Deutsche Bank AG. Seit 2012 ist er insbesondere für die Anlageberatung von ausgewählten Kundengruppen zuständig.


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Product Details
  • ISBN-13: 9783844804812
  • Publisher: Books on Demand
  • Binding: Paperback
  • Language: German
  • Returnable: N
  • Spine Width: 3 mm
  • Weight: 77 gr
  • ISBN-10: 3844804811
  • Publisher Date: 10 May 2016
  • Height: 210 mm
  • No of Pages: 54
  • Series Title: German
  • Sub Title: Wer kein kontrolliertes Risiko nimmt, verliert!
  • Width: 148 mm


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Investieren im Zeitalter exzessiver Staatsverschuldung, ultraexpansiver Geldpolitik und zunehmender Schuldenschnitte: Wer kein kontrolliertes Risiko nimmt, verliert!
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