Angesichts der verstärkten Schwankungsanfälligkeit moderner Märkte, wird das Thema Risikomanagement immer wichtiger.
"The Psychology of Risk" schlägt eine Brücke zwischen Anlegerpsychologie und quanitativem Risikomanagement durch ein neues, revolutionäres Modell des Risikomanagement.
Es handelt sich dabei um ein einzigartiges, dynamisches Riskikomanagement-Modell, das quanitative Modelle und Verfahren des Money Management mit Verhaltenspsychologie kombiniert. Basierend auf einem ganzheitlichen Ansatz, vermittelt es erfolgreiche Strategien und bewährte Verhaltensmodelle.
Jeder Händler oder Anleger kann das hier vorgestellte Modell individuell auf seine Ziele und seine Persönlichkeit zuschneiden.
Mit einer Fülle faszinierender Fallstudien aus der Praxis.
Demonstriert werden u.a. auch verschiedene psychologische und emotionale Fallen, in die selbst der erfahrenste Anleger tappen kann.
Stellt einen Katalog strenger Richtlinien auf, die bei der Beantwortung wichtiger Fragen helfen sollen, z.B.: Wieviel sollte ich handeln? Welches Risiko kann ich eingehen? Wann sollte ich aussteigen?
Der Autor ist ein renommierter Psychiater und anerkannter Finanzexperte.
Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.
ARI KIEV, MD, is a practicing psychiatrist who has received recognition in the financial community for his insights into the psychology of decision making under stress and for the creation of goal-directed programs to enhance trading performance. He is the author of fifteen books, including Trading to Win: The Psychology of Mastering the Markets, Trading in the Zone: Maximizing Performance with Focus and Discipline, and the bestselling masterpiece A Strategy for Daily Living. He is President of the Social Psychiatry Research Institute in New York, has appeared on CNBC and CNNfn, and has been featured on Forbes.com, cbsmarketwatch.com, in The New York Times, and The New York Post. Dr. Kiev frequently writes for Active Trader magazine and was featured in Stock Market Wizards by Jack Schwager for his significant contributions to some of Wall Street's most successful hedge funds.
If you would like to contact Ari Kiev, please send an e-mail to niss33@aol.com.
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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Hardcover. Etat : As New. Leichte Kratzer / Abnutzungen / Druckstellen. One of the financial world's most respected experts on the psychology of risk provides a revolutionary risk management modelOver 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 How much should I trade? How much risk can I handle? and When should I get out? N° de réf. du vendeur 2376f754-0e39-4d10-8ac7-c62798e7f2db
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