The Economist Guide To Investment Strategy: How to understand markets, risk, rewards and behaviour

9781846682391
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DESCRIPTION :
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 investors' customary mistakes.

Part one considers the basics of investor objectives, behaviour, risk and investment allocation in terms of stocks, bonds and cash. Part two considers the things on which investors, their advisers and investment managers spend most of their time - the choice of money manager, bonds, equities, hedge fund strategies, private equity and real estate.

PRODUCT DETAILS :
ISBN : 9781846682391
BY (AUTHOR) Stanyer, Peter
PUBLISHER : Profile Books Ltd PUBLICATION DATE : November 26, 2009
COUNTRY OF PUBLICATION : United Kingdom IMPRINT : Economist Books
LANGUAGE : English AGE : Professional & Vocational
PRODUCT FORM : Hardback
DIMENSION : 222 mm x 144 mm
WEIGHT : 481 g

PRODUCT CATEGORY :
Economics, Finance, Business & Management