
The Dividend Mirage: How to Detect Fragile Yields and Protect Portfolios from Hidden Payout Risks (eBook, ePUB)
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High yields can be alluring, but for professionals and advanced investors, the real challenge lies in separating sustainable distributions from fragile illusions. What looks like reliable income today can collapse tomorrow, eroding capital and destabilizing portfolios.This book provides a rigorous, research-driven framework for spotting and avoiding dividend traps before they strike. Through clear analysis and applied methodology, you'll learn how to:Uncover red flags in payout ratios, leverage structures, and cash flow coverage.Quantify sustainability beyond headline yield numbers.Evaluate ma...
High yields can be alluring, but for professionals and advanced investors, the real challenge lies in separating sustainable distributions from fragile illusions. What looks like reliable income today can collapse tomorrow, eroding capital and destabilizing portfolios.
This book provides a rigorous, research-driven framework for spotting and avoiding dividend traps before they strike. Through clear analysis and applied methodology, you'll learn how to:
Uncover red flags in payout ratios, leverage structures, and cash flow coverage.
Quantify sustainability beyond headline yield numbers.
Evaluate management policies and capital allocation for long-term resilience.
Stress-test portfolios for payout durability under recessionary and volatile market regimes.
Build an evidence-based framework that balances income reliability with capital preservation.
The Dividend Mirage is written for portfolio managers, analysts, and expert investors who demand clarity and discipline in dividend strategy design. It equips readers with the tools to filter real income opportunities from short-lived promises.
This book provides a rigorous, research-driven framework for spotting and avoiding dividend traps before they strike. Through clear analysis and applied methodology, you'll learn how to:
Uncover red flags in payout ratios, leverage structures, and cash flow coverage.
Quantify sustainability beyond headline yield numbers.
Evaluate management policies and capital allocation for long-term resilience.
Stress-test portfolios for payout durability under recessionary and volatile market regimes.
Build an evidence-based framework that balances income reliability with capital preservation.
The Dividend Mirage is written for portfolio managers, analysts, and expert investors who demand clarity and discipline in dividend strategy design. It equips readers with the tools to filter real income opportunities from short-lived promises.
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