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Guide to Investment Strategy How to Understand Markets, Risk, Rewards and Behaviour

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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  • "How to understand markets, risk, rewards and behaviour"@en
  • "Economist guide to investment strategy"
  • "Economist guide to investment strategy"@en
  • "Economist"
  • "Investment strategy"
  • "Investment strategy"@en

http://schema.org/description

  • "Investment."
  • "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."@en
  • "The global financial crisis that erupted in 2008 exposed the flaws in many investment strategies. This book explores the controversies that surround the management of wealth and provides guidance on how to construct investment strategies that are appropriate for each investor."
  • "Supported by numerous charts and detailed analysis, The Economist Guide to investment strategy outlines how to construct investment strategies appropriate for individual investors."
  • "The global financial crisis that erupted in 2008 exposed the flaws in many investment strategies. This book explores the controversies that surround the management of wealth, and provides guidance on how to construct investment strategies that are appropriate for each investor. With detailed analysis, supported by data and anecdotes, it is above all a practical guide. It shows how the insights of behavioral analysis are widely reflected in investor actions, while emphasizing the importance of basing investment strategy on the principles of traditional finance. And it takes into acc."@en
  • "The global financial crisis that erupted in 2008 exposed the flaws in many investment strategies. This book explores the controversies that surround the management of wealth and provides guidance on how to construct investment strategies that are appropriate for each investor. With its detailed analysis, supported by data and anecdotes, it is above all a practical guide. It shows how the insights of behavioural analysis are widely reflected in investor behaviour, while emphasising the importance of basing investment strategy on the principles of traditional finance. And it takes into account new research into behavioural and traditional finance which has created new understandings of what investors want to achieve and explores investors' customary mistakes."
  • "The first edition of The Economist Guide to Investment Strategy explained the fundamentals of investment risk, how to put together "keep-it-simple" investment strategies, and the need to guard against our own behavior leading to dreadful investment mistakes. The global crisis that erupted in 2008 exposed the flaws in many more complicated investment strategies.The second edition starts with a new section on financial fraud and how investors can help to protect themselves against this "hearty perennial." It also includes a new section on risk profiling and discusses the role of risk tolerance"@en
  • "First edition of The Economist Guide to Investment Strategy explained the fundamentals of investment risk, how to put together "keep-it-simple" investment strategies, and the need to guard against our own behavior leading to dreadful investment mistakes. The global crisis that erupted in 2008 exposed the flaws in many more complicated investment strategies. The second edition starts with a new section on financial fraud and how investors can help to protect themselves against this "hearty perennial." It also includes a new section on risk profiling and discusses the role of risk tolerance questionnaires. In Chapter 3 data are provided pointing to underperformance of equities between 1978 and 2008. Against this background, there is a new Chapter 4-"Which should we do: buy-and-hold or time markets'" Chapter 5, which discusses the design of short-term and long-term strategies, includes a new section-"How safe is cash'"--And the discussion of bond ladders is extended to reflect issues of bond selection in the light of corporate credit risk and the financial difficulties of some US municipal authorities. Part 2 has been updated extensively to reflect developments in the past four years and the impact of the financial crisis on credit instruments, hedge funds, private equity, and real estate. The book concludes with a new chapter on investing in art and collectibles. It explores the argument that art prices "float aimlessly," discusses financial investment in art, and provides some reasons for expecting that a portfolio of art might perform well in the future."@en
  • "Exploring the controversies that surround the management of wealth, this book provides guidance on how to construct investment strategies that are appropriate for each investor. Taking into account research into behavioural and traditional finance, it also shows how the insights of behavioural analysis are reflected in investor behaviour."@en

http://schema.org/genre

  • "Livres électroniques"
  • "Electronic books"
  • "Electronic books"@en

http://schema.org/name

  • "Guide to Investment Strategy How to Understand Markets, Risk, Rewards and Behaviour"@en
  • "Guía de estrategias de inversión entender mercados, riesgos, ganancias y comportamientos"@es
  • "Guide to investment strategy : how to understand markets, risk, rewards and behaviour"@en
  • "Guide to investment strategy : how to understand markets, risk, rewards and behaviour"
  • "Guide to investment strategy how to understand markets, risk, rewards, and behaviour"
  • "Guía de estrategias de inversión : entender mercados, riesgos, ganancias y comportamientos"
  • "Economist Guide to Investment Strategy (3rd Ed) How to Understand Markets, Risk, Rewards, and Behaviour"@en
  • "Guide to investment strategy how to understand markets, risk, rewards and behaviour"
  • "Guide to investment strategy how to understand markets, risk, rewards and behaviour"@en
  • "Guide to Investment Strategy"
  • "Guide to Investment Strategy"@en
  • "Guide to investment strategy : how to understand markets, risk, rewards, and behaviour"
  • "Guía de estrategias de inversión entender mercados, riesgos, ganacias y comportamientos"@es

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