本书是了解巴菲特集中投资理念与思维框架的入门之作。第1~5章讨论了集中投资理论,介绍了巴菲特对风险和市场的看法,讲述了巴菲特投资部落超级投资家们的投资经历,展示了巴菲特与伯克希尔-哈撒韦在业绩衡量标准上的探索以及其如何贯彻了自己的投资准则。第6~9章,作者带我们进入与投资有关的其他领域,探讨了巴菲特如何从概率论、心理学、复杂适应性系统的角度看待市场和投资,能够拓宽我们对投资的认知与思维方式。无论从哪个方面看,本书都是了解巴菲特及其投资思想的不可多得的佳作。
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Seller: liu xing, Nanjing, JS, China
paperback. Condition: New. Language:Chinese.Paperback. Pub Date: 2021-01-01 Pages: 244 Publisher: Machinery Industry Press. can fewer stocks bring higher returns??This book gives you the answer. Choose a few stocks that can generate higher-than-average returns in the long-term tug-of-war. and concentrate most of your capital on these stocks. Regardless of the short-term decline or rise of the stock market. stick to holdings and win steadily.?So - how to find these stocks with above-average returns??How many count as th. Seller Inventory # NS027862