投資管理手冊(cè)Handbook of investment administration

出版時(shí)間:2007-12  作者:Kevin Rothwell  頁(yè)數(shù):501  

內(nèi)容概要

  Investment Administration has a key role to play in the many and varied investment products and services that are available in the retail investment marketplace. Kevin Rothwell’s Handbook of Investment Administration provides a comprehensive and readable source of both background and practical information for the practitioner. The Handbook takes the main aspects of investment administration and drills down into the detail of these from a retail perspective. It covers areas that are unique to the private client business such as trusts. It explains the background on why processes are undertaken providing as essential reference aid for the practitioner.   Key features include:   A full range of Investment Administration functions from New Business to Settlement through to Corporate Actions.   Specialist areas such as Trusts and Charities are covered in depth.   Concise introduction to each subject providing interesting background information, followed by a detailed review.   Essential reading for candidates undertaking Securities & Investment Institute IAQ exams examinations.

作者簡(jiǎn)介

  Kevin Rothwell has spent his entire working life within the Financial Services Industry and his hands-on experience has given him a detailed knowledge of such areas as private client investment management, investment administration and dealing, settle

書(shū)籍目錄

About the authorIntroductionPART I: INTRODUCTORY ELEMENTS  1. WEALTH MANAGEMENT   1.1 Introduction   1.2 Wealth management market   1.3 Types of business   1.4 Investment services and products   1.5 Investment firms   1.6 Investment administration PART II: INVESTMENT ADMINISTRATION  2. NEW AND CLOSING BUSINESS   2.1 Introduction  2.2 New business   2.3 Client types   2.4 Know your customer   2.5 Agreements   2.6 Account opening   2.7 Money laundering   2.8 Validating the assets   2.9 Transferring assets   2.10 Raising assets   2.11 Closing business and transfers   2.12 Death of a client  3. TRADING   3.1 Introduction   3.2 Stock market developments   3.3 Equity trading   3.4 Bond trading   3.5 Regulation  4. SETTLEMENT   4.1 Introduction   4.2 Fundamentals of settlement   4.3 Settlement process   4.4 UK settlement  4.5 International settlement  5. CORPORATE ACTIONS   5.1 Introduction   5.2 Corporate actions industry   5.3 Types of event   5.4 Private client corporate action processing   5.5 Corporate events   5.6 Income events PART III: OTHER CONSIDERATIONS  6. CUSTODY   6.1 Introduction   6.2 Protection of client assets   6.3 Segregation of safe custody assets   6.4 Use of a custodian   6.5 Nominee companies   6.6 Global custodians   6.7 Selecting a custodian   6.8 Custody agreements and SLAs   6.9 Reviewing the suitability of custodians  7. TAX   7.1 Introduction   7.2 Income tax   7.3 Tax treatment of dividends   7.4 Capital gains tax   7.5 Residence and domicile   7.6 Withholding tax   7.7 EU savings directive  8. POWERS OF ATTORNEY   8.1 Introduction   8.2 Background   8.3 Parties and terminology   8.4 Enduring power of attorney   8.5 Receiverships   8.6 Mental capacity act 2005   8.7 Administration  9. OUTSOURCING   9.1 Introduction  9.2 Development of outsourcing   9.3 Risks associated with outsourcing   9.4 Regulatory principles PART IV: INVESTMENT ACCOUNTS AND PRODUCTS  10. INDIVIDUAL SAVINGS ACCOUNTS (ISAS)   10.1 Introduction   10.2 Development of ISAs and PEPs   10.3 Organisation and regulation   10.4 Individual savings accounts   10.5 Allowable investments   10.6 New and closing business   10.7 Voids and repairs   10.8 Residence   10.9 Investor reporting   10.10 Reform of the ISA regime  11. COLLECTIVE INVESTMENT SCHEMES   11.1 Introduction   11.2 Regulation of UK funds   11.3 Types of UK funds   11.4 Fund administration    11.5 Pricing  11.6 Dealing and settlement   11.7 Share register   11.8 Dividend and interest distributions   11.9 Investor reporting  12. TRUSTS   12.1 Introduction   12.2 Development of trusts   12.3 Fundamentals of trusts   12.4 Investment administration  13. CHARITIES   13.1 Introduction   13.2 What is a charity?   13.3 Legal background to investment by charities   13.4 Trustee investment powers and duties   13.5 Investment policy   13.6 Appointing an investment manager   13.7 Common investment funds   13.8 Use of nominees and custodians  14. SELF-INVESTED PERSONAL PENSIONS   14.1 Introduction   14.2 Development of SIPPs   14.3 What is a SIPP?   14.4 Setting up a SIPP   14.5 Eligibility and contributions   14.6 Permitted investments   14.7 Benefits  15. DERIVATIVE PRODUCTS   15.1 Introduction   15.2 Types of derivatives   15.3 Uses of derivates   15.4 Derivatives markets   15.5 Structured products   15.6 Covered warrants   15.7 Exchange traded commodities   15.8 Contracts for differenceGlossary Bibliography Reading Material Index

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