Stop. Think. Invest.: A Behavioral Finance Framework for Optimizing Investment Portfolios
Seiten
2022
McGraw-Hill Education (Verlag)
978-1-264-26838-2 (ISBN)
McGraw-Hill Education (Verlag)
978-1-264-26838-2 (ISBN)
In an economy that’s more unpredictable than ever—the proven method for avoiding emotional mistakes that can wreak havoc on your portfolio returns
Applying powerful behavioral finance concepts, Stop. Think. Invest. provides a framework for identifying personal biases and avoiding mistakes that can cost them big profits.
Based on the author’s extensive research and 100 key behavioral finance concepts, this guide provides a winning 12-step process you can use to successfully manage your trading and investing for long-term success, including:
Begin the Initial Research into a New Stock
Create an Investment Thesis: Why Are You Buying the Stock?
Trade Timing and Size: When Are You Buying and How Much?
Make the Initial Purchase
Review of Trade: Round Up or Round Down
Test Your Original Investment Thesis
Stop. Think. Invest. reveals important information about behavioral finance flaws, such as anchoring, confirmation bias, recency bias, and loss aversion.
Unlike other such investing guides, Stop. Think. Invest. offers a fully organized and practical approach to applying behavioral finance to everyday investing.
Applying powerful behavioral finance concepts, Stop. Think. Invest. provides a framework for identifying personal biases and avoiding mistakes that can cost them big profits.
Based on the author’s extensive research and 100 key behavioral finance concepts, this guide provides a winning 12-step process you can use to successfully manage your trading and investing for long-term success, including:
Begin the Initial Research into a New Stock
Create an Investment Thesis: Why Are You Buying the Stock?
Trade Timing and Size: When Are You Buying and How Much?
Make the Initial Purchase
Review of Trade: Round Up or Round Down
Test Your Original Investment Thesis
Stop. Think. Invest. reveals important information about behavioral finance flaws, such as anchoring, confirmation bias, recency bias, and loss aversion.
Unlike other such investing guides, Stop. Think. Invest. offers a fully organized and practical approach to applying behavioral finance to everyday investing.
Michael Bailey, CFA, is Director of Research and Investment Committee Chair for FBB Capital Partners, a boutique Washington, D.C., investing firm with $1.4 billion assets under management, as of 12/31/2020. Bailey created and launched an investment strategy for managing a portfolio of stocks with high environmental, social, and governmental metrics. He served as principal and equity research analyst for Legg Mason and held positions at Bear Sterns and Raymond James.
Erscheinungsdatum | 31.01.2022 |
---|---|
Verlagsort | OH |
Sprache | englisch |
Gewicht | 490 g |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Allgemeines / Lexika |
Wirtschaft ► Betriebswirtschaft / Management ► Finanzierung | |
ISBN-10 | 1-264-26838-6 / 1264268386 |
ISBN-13 | 978-1-264-26838-2 / 9781264268382 |
Zustand | Neuware |
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