Guide to investment strategy how to understand markets, risk, rewards, and behaviour

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 t...

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Detalles Bibliográficos
Otros Autores: Stanyer, Peter, 1956- author (author), Stanyer, Peter, 1956- (-)
Formato: Libro electrónico
Idioma:Inglés
Publicado: New York : Bloomberg Press 2010.
Edición:2nd ed
Colección:Economist series.
Materias:
Ver en Biblioteca Universitat Ramon Llull:https://discovery.url.edu/permalink/34CSUC_URL/1im36ta/alma991009628034906719
Descripción
Sumario: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
Notas:At head of title: The economist.
Rev. ed. of: The Economist guide to investment strategy. 2006.
Descripción Física:1 online resource (306 p.)
Bibliografía:Includes bibliographical references and index.
ISBN:9781118163238
9781283858670
9781118163245