Guide to investment strategy : how to understand markets, risk, rewards and behaviour için kapak resmi
Başlık:
Guide to investment strategy : how to understand markets, risk, rewards and behaviour
Yazar:
Stanyer, Peter, 1956- author
ISBN:
9781610393911

9781610393928
Yazar Ek Girişi:
Tek Biçim Başlık:
Economist guide to investment strategy
Basım Bilgisi:
Third edition.
Fiziksel Tanımlama:
xxvii, 354 pages : illustrations ; 22 cm
Genel Not:
Revised edition of the author's The economist guide to investment strategy.
İçerik:
Part 1. The big picture. Setting the scene -- Understand your behaviour -- Market investment returns -- How should and how do investor strategies evolve? -- The time horizon and the shape of strategy : keep it simple. Part 2. Implementing more complicated strategies. Setting the scene -- Equities -- Credit -- Hedge funds -- Private equity : information-based investment returns -- Real estate -- Art and investments of passion.
Özet:
Supported by numerous charts and detailed analysis, this book outlines how to construct investment strategies appropriate for individual investors. It looks at risk and comes with wealth-warnings for those who wish to explore more sophisticated and fashionable investment approaches, and it emphasises the importance of taking into account insights from behavioural analysis as well as the principles of traditional finance. It highlights how habitual patterns of decision-making can lead any of us into costly mistakes, and it stresses how markets are most dangerous when they appear to be most rewarding.
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Library
Materyal Türü
Demirbaş
Yer Numarası
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Kitap EKOBKN0008410 332.6 STA 2014
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