The Economist Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (4 Ed.) | 誠品線上

The Economist Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (4 Ed.)

作者 Peter Stanyer
出版社 PROFILE BOOKS LTD
商品描述 The Economist Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (4 Ed.):Theclassicguidefortheindividualinvestor,TheEconomist

內容簡介

內容簡介 The classic guide for the individual investor, The Economist Guide to Investment Strategy sets out the basic - and the not-so-basic - principles for putting your wealth to work. It looks at risk, pointing out the hazards for those who wish to explore a variety of investment approaches. It also teaches the importance of sophisticated self-knowledge in finance, distilling 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.This fourth edition includes new material on private investment and non-standard asset classes - art, wine, collectibles and the like - helping readers to navigate those areas in which prudence meets passion.

商品規格

書名 / The Economist Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (4 Ed.)
作者 / Peter Stanyer
簡介 / The Economist Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (4 Ed.):Theclassicguidefortheindividualinvestor,TheEconomist
出版社 / PROFILE BOOKS LTD
ISBN13 / 9781781259153
ISBN10 / 1781259151
EAN / 9781781259153
誠品26碼 / 2681440072000
頁數 / 384
注音版 /
裝訂 / P:平裝
語言 / 3:英文
級別 / N:無

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