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      1. Ekonomi och Ledarskap
      2. Företagsekonomi
      3. Redovisning och finansiering
      4. Finansiering

      Behavioral Finance and Investor Types

      Managing Behavior to Make Better Investment Decisions

      AvMichael M. Pompian

      Inbunden, Engelska, 2012

      Del 745 i serien Wiley Finance

      538 kr

      Beställningsvara. Skickas inom 5-8 vardagar. Fri frakt över 249 kr.

      Fler format och utgåvor

      E-bok

      707 kr

      E-bok

      707 kr

      Beskrivning

      Achieve investing success by understanding your behavior type This groundbreaking book shows how to invest wisely by managing your behavior, and not just your money. Step by step, Michael Pompian (a leading authority in the practical application of Behavioral Finance concepts to wealth management) helps you plan a strategy targeted to your personality. The book includes a test for determining your investment type and offers strategies you can put into use when investing. It also includes a brief history of the stock market, and easy-to-comprehend information about stocks and investing to help you lay a solid foundation for your investment decisions.Behavioral Finance and Investor Types is divided into two parts. Test Your Type, gives an overview of Behavioral Finance as well as the elements that come into play when figuring out BIT, like active or passive traits, risk tolerance, and biases. The book includes a quiz to help you discover what category you are in. Plan and Act, contains the traits common to your type; an analysis of the biases associated with your type; and strategies and solutions that compliment and capitalize on your BIT. Offers a practical guide to an investing strategy that fits both your financial situation and your personality typeIncludes a test for determining your tolerance for risk and other traits that will determine your investment typeWritten by the Director of the Private Wealth Practice for Hammond Associates—an investment consulting firm serving institutional and private wealth clientsBehavioral Finance and Investor Types offers investors a better sense of what drives them and what puts on their breaks. By using the information found here, you'll quickly become savvy about the world of investing because you'll come to understand your place in it.

      Produktinformation

      • Utgivningsdatum:2012-08-10
      • Mått:160 x 236 x 21 mm
      • Vikt:445 g
      • Format:Inbunden
      • Språk:Engelska
      • Serie:Wiley Finance
      • Antal sidor:256
      • Förlag:John Wiley & Sons Inc
      • ISBN:9781118011508

      Utforska kategorier

      • Finansiering inom Ekonomi och Ledarskap

      Mer om författaren

      MICHAEL M. POMPIAN, CFA, CAIA, CFP, is a partner at Mercer Investment Consulting (formerly Hammond Associates) serving institutional and private wealth clients. Prior to joining Mercer, he worked at Merrill Lynch and PNC Private Bank, as well as the investment staff of a family office. Pompian holds the Chartered Financial Analyst (CFA) designation, is a Chartered Alternative Investment Analyst (CAIA) and a Certified Financial Planner (CFP). He is also a member of the CFA Institute (formerly AIMR) and the New York Society of Security Analysts (NYSSA). He holds a BS in management from the University of New Hampshire and an MBA from Tulane University. He is a regular speaker on the subject of behavioral finance and has published numerous articles on the subject. He is married with three sons and can be reached at mpompian@hotmail.com.

      Innehållsförteckning

      • Foreword xiPreface xiiiAcknowledgments xxiPart One Introduction to Behavioral Finance 1Chapter 1 Why Reaching Financial Goals Is Difficult 3Nonfinancial Examples of Self-Defeating Behavior 4Financial Examples of Self-Defeating Behavior 8Summary 11Notes 12Chapter 2 Overview of Behavioral Finance 13Behavioral Finance: Micro versus Macro 14Standard Finance versus Behavioral Finance 15The Role of Behavioral Finance with Private Clients 22Practical Applications 22Notes 24Chapter 3 The Building Blocks: Behavioral Biases 25Cognitive Biases 27Emotional Biases 38Summary 43Notes 44Part Two Personality Theory 45Chapter 4 Introduction to Personality Theory 47History of Personality Theory 48Four Main Personality Theories 50Notes 65Chapter 5 The History of Personality Testing 67Types of Personality Tests 67Summary 77Notes 77Chapter 6 The Behavioral Investor Type Framework 79Reviewing the Original Process 81The Behavioral Alpha Process: A Top-Down Approach 81Updates to the Previous Model 85Updated BIT Theory and Application 87Summary 89Chapter 7 Behavioral Investor Type Diagnostic Testing 91Step 1: BIT Orientation Quiz 92Step 2: Bias Identification Quiz 94Summary 100Part Three Explanation of the Behavioral Investor Types 101Chapter 8 The Preserver 103Upside/Downside Analysis 104Bias Analysis 105Other Biases 107Advice for Preservers 109Chapter 9 The Follower 111Upside/Downside Analysis 112Bias Analysis 113Other Biases 117Advice for Followers 119Chapter 10 The Independent 121Upside/Downside Analysis 122Bias Analysis 123Advice for Independents 133Chapter 11 The Accumulator 135Upside/Downside Analysis 136Bias Analysis 137Other Biases 141Advice for Accumulators 144Part Four Plan and Act 147Chapter 12 Capital Markets and Asset Classes 149Overview of Asset Classes 150Publicly Traded Equity Investments (Stocks) 154Fixed Income Investments (Bonds) 163Hedge Funds 172Real Assets 176Simple Portfolio Construction 180Summary 182Notes 182Chapter 13 What Is Asset Allocation? 183The Importance of Assumptions 185The Importance of Strategic Asset Allocation 186Considerations for Individual Investors 188Why Asset Allocation Is So Important 197Summary 200Notes 200Chapter 14 Financial Planning: A Crucial Step 201What Is Financial Planning? 202Working with a Financial Planner 203What Is a Certified Financial Planner? 205Who Can Provide Financial Planning Services? 209Summary 212Notes 213Chapter 15 Investment Advice for Each Behavioral Investor Type 215Foundations of Best Practical Allocation 216Guidelines for Determining When to Moderate and When to Adapt 217Best Practical Allocation for Preservers 219Best Practical Allocation for Followers 222Best Practical Allocation for Independents 224Best Practical Allocation for Accumulators 227Summary 229Note 230Index 231
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