The Economist Guide to Investment Strategy (3rd Ed): How to Understand Markets, Risk, Rewards, and Behaviour (Economist Books)
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Language: English
Published by PublicAffairs, 2014
- Softcover
- Used

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- Title
- The Economist Guide to Investment Strategy (3rd Ed): How to Understand Markets, Risk, Rewards, and Behaviour (Economist Books)
- Author
- The Economist; Stanyer, Peter
- Publisher
- PublicAffairs
- Publication year
- 2014
- Condition
- good
- Binding
- Soft cover
- Language
- English
- ISBN 10
- 1610393910
- ISBN 13
- 9781610393911
- Edition
- 3rd Edition
Supported by numerous charts and detailed analysis, The Economist Guide to Investment Strategy outlines how to construct investment strategies appropriate for individual investors.
It looks at the risks and opportunities of uncomplicated strategies and it comes with wealth-warnings for those who wish to explore more sophisticated and fashionable investment approaches. It emphasizes the importance of taking into account insights from behavioral 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.
It looks at the risks and opportunities of uncomplicated strategies and it comes with wealth-warnings for those who wish to explore more sophisticated and fashionable investment approaches. It emphasizes the importance of taking into account insights from behavioral 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.
"Synopsis" may belong to another edition of this title.
About the Author
Peter Stanyer is an independent investment economist. He advises two UK private wealth managers and serves on the investment committees of three large UK pension funds (chairing one of them) and of a college endowment. He began his career as a professional economist working at the Bank of England and then the IMF, and for the past twenty-five years he has worked with individuals, families and institutions from around the world on investment strategy and investment risk management.
Elroy Dimson is Emeritus Professor of Finance at London Business School. He chairs the Strategy Council for the Norwegian Government Pension Fund, chairs the Policy Committee for FTSE Group and co directs the Centre for Endowment Asset Management at Cambridge Judge Business School. His publications include Triumph of the Optimists, Endowment Asset Management/, and the Global Investment Returns Yearbook. He has been an associate editor of Journal of Finance, Review of Finance, and other journals.
Elroy Dimson is Emeritus Professor of Finance at London Business School. He chairs the Strategy Council for the Norwegian Government Pension Fund, chairs the Policy Committee for FTSE Group and co directs the Centre for Endowment Asset Management at Cambridge Judge Business School. His publications include Triumph of the Optimists, Endowment Asset Management/, and the Global Investment Returns Yearbook. He has been an associate editor of Journal of Finance, Review of Finance, and other journals.
"About the title" may belong to another edition of this title.
Greenworld Books
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