Investing in Funds: How to Select Investments, Assess Managers and Protect Your Wealth (Financial Times Guides) (The FT Guides)
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Description
Learn how to evaluate any investment fund before deciding where to place your money so you can ensure you generate more wealth and protect your cash. This valuable guide will help you make the right investment decisions by: - Explaining the procedures that should be followed before investing money anywhere. - Helping you cut through marketing language to get a real sense of how risky a companys strategy may be. - Showing you what questions to ask of investment fund managers so youre more comfortable investing in a company. - Showing you how to recognise the warning signs of risky investments. This book will also help you identify companies who consistently deliver high returns, thereby allowing you to generate more wealth by investing in successful, and stable, funds. Cover The Financial Times Guide to Investing in Funds Contents Acknowledgements Introduction The manager The star traders International legal structures for managers The manager and the advisor’s roles Controls over the fund What to deduce from a manager’s set up The fund Investing in a fund International legal structures for funds Common forms of funds Understanding where the money goes Fund performance The prospectus Why is there a prospectus? / 38 Leverage and investment restrictions Fees The subscription and redemption forms in the prospectus Corroboration and gap analysis with marketing material Governance Key individuals Organisation of employees Directors’ independence Management dedication Service providers The missing link – the investor Administrator Prime broker and custodian Other key providers Front and back office operations Internal operational policies Verifying the application of policies Front office workflow Back office workflow The future balance of power between front and back office Investment process and products Investment process Key strategies A disciplined approach Dependence on research Using statistics and data Benchmarks Leverage Portfolio turnover and trading volume Market conditions and competitors Products traded and assets in your portfolio Capacity and AUM Investors analysis Principals’ own investments Risk management Risk management processes Key man risk Market risk Valuation risk Liquidity risk Counterparty risk Compliance Compliance status Compliance officer Systems and controls Financial promotion Financial reporting Insurance Business continuity plan Dealing and managing Anti-money laundering Prudential (capital requirement) / 175 Background checks Relevance of background checks Practical steps Conclusion The value of due diligence The future of the fund industry’s service providers and advisors to investors New regulation – what is it good for? / 201 Glossary Index
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