Sadece LitRes`te okuyun

Kitap dosya olarak indirilemez ancak uygulamamız üzerinden veya online olarak web sitemizden okunabilir.

Основной контент книги Behavioral Finance and Wealth Management. How to Build Optimal Portfolios That Account for Investor Biases
Metin PDF

Cilt 338 sayfalar

0+

Behavioral Finance and Wealth Management. How to Build Optimal Portfolios That Account for Investor Biases

Sadece LitRes`te okuyun

Kitap dosya olarak indirilemez ancak uygulamamız üzerinden veya online olarak web sitemizden okunabilir.

₺2.740,77
%10 indirim al
Bu kitabı önerin ve arkadaşınız kitabı satın aldığında ₺274,08 kazanın.

Kitap hakkında

"Pompian is handing you the magic book, the one that reveals your behavioral flaws and shows you how to avoid them. The tricks to success are here. Read and do not stop until you are one of very few magicians." —Arnold S. Wood, President and Chief Executive Officer, Martingale Asset Management Fear and greed drive markets, as well as good and bad investment decision-making. In Behavioral Finance and Wealth Management, financial expert Michael Pompian shows you, whether you're an investor or a financial advisor, how to make better investment decisions by employing behavioral finance research. Pompian takes a practical approach to the science of behavioral finance and puts it to use in the real world. He reveals 20 of the most prominent individual investor biases and helps you properly modify your asset allocation decisions based on the latest research on behavioral anomalies of individual investors.

Giriş, kitabı değerlendirin ve yorum bırakın
Kitab «Behavioral Finance and Wealth Management. How to Build Optimal Portfolios That Account for Investor Biases» — saytda onlayn oxuyun. Şərh və rəylərinizi qeyd edin, sevimlilərinizi seçin.
Yaş sınırı:
0+
Litres'teki yayın tarihi:
20 şubat 2018
Hacim:
338 s.
ISBN:
9780471914464
Toplam boyut:
3.5 МБ
Toplam sayfa sayısı:
338