Книга Behavioral Finance and Wealth Management. How to Build Optimal Portfolios That Account for Investor Biases - скачать бесплатно в pdf, Michael M. Pompian
Behavioral Finance and Wealth Management. How to Build Optimal Portfolios That Account for Investor Biases
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Behavioral Finance and Wealth Management. How to Build Optimal Portfolios That Account for Investor Biases

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Год написания книги: 2018
The book that applies behavioral finance to the real world Understanding how to use behavioral finance theory in investing is a hot topic these days. Nobel laureate Daniel Kahneman has described financial advising as a prescriptive activity whose main objective should be to guide investors to make decisions that serve their best interests. The reality? That's easier said than done. In the Second Edition of Behavioral Finance and Wealth Management, Michael Pompian takes a practical approach to the growing science of behavioral finance, and puts it to use for real investors. He applies knowledge of 20 of the most prominent individual investor biases into «behaviorally-modif…
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Behavioral Finance and Wealth Management. How to Build Optimal Portfolios That Account for Investor Biases
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