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Psychology of Risk - Mastering Market Uncertainty

Jezik EngleskiEngleski
Knjiga Tvrdi uvez
Knjiga Psychology of Risk - Mastering Market Uncertainty Ari Kiev
Libristo kod: 04890605
Nakladnici John Wiley & Sons Inc, svibanj 2002
One of the financial world's most respected experts on the psychology of risk provides a revolutiona... Cijeli opis
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One of the financial world's most respected experts on the psychology of risk provides a revolutionary risk management model Over the past three decades investors have adopted all varieties of complex quantitative systems for quantifying and managing risk. Yet, sophisticated investors and money managers continue to suffer record losses in today's increasingly volatile markets. This book bridges the gap between investor psychology and quantitative risk management with a revolutionary risk management program that virtually any trader or investor can easily adapt to their goals and personalities. Using numerous fascinating real-life case studies, Dr. Kiev illustrates the various psychological and emotional traps to which even the savviest investors can fall victim. He develops a dynamic new risk management model that combines quantitative models and money management techniques. He also provides rigorous guidelines that will help readers answer such crucial questions as: How much should I trade? How much risk can I handle? and When should I get out?

Informacije o knjizi

Puni naziv Psychology of Risk - Mastering Market Uncertainty
Autor Ari Kiev
Jezik Engleski
Uvez Knjiga - Tvrdi uvez
Datum izdanja 2002
Broj stranica 304
EAN 9780471403876
ISBN 0471403873
Libristo kod 04890605
Težina 658
Dimenzije 162 x 230 x 27
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