Behavioral investment management : an efficient alternative to modern portfolio theory / Greg B. Davies, Arnaud de Servigny.
Material type: TextPublisher: New York : McGraw-Hill, c2012Description: xv, 367 pages : illustrations ; 24 cmContent type: text Media type: unmediated Carrier type: volumeISBN: 9780071746601 [hardbound]Subject(s): Portfolio management | Asset allocationDDC classification:Item type | Current location | Call number | Status | Date due | Barcode |
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Book | Filipiniana | 332.6019 D28 2012 (Browse shelf) | Available | 3UCBL000010779 | |
Book | 332.6019 D28 2012 (Browse shelf) | Available | 3UCBL000008341 |
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332.4142 An43 2006 The peso exchange rate : | 332.4142 An43 2006 The peso exchange rate : | 332.6 C41 2003 Mathematics of investment : | 332.6019 D28 2012 Behavioral investment management : | 333.7 B45 2017 Environmental management / | 333.707 Sa34 2002 Environmental geography / | 333.75 C76 2003 The kingdom and the republic : |
Includes bibliographical references and index.
Contents: Chapter 1 Questioning the current investment paradigm -- Chapter 2 Individual investor preferences and behavior -- Chapter 3 Modern portfolio theory -- Chapter 4 How well does modern portfolio theory work in practice? -- Chapter 5 "Behavioralizing" risk/return optimization -- Chapter 6 Representing asset return dynamic in an uncertain environment -- Chapter 7 Combining behavioral preferences with dynamic risk/return expectations -- Chapter 8 Portfolio optimization for the anxious investor -- Chapter 9 The impact of behavioral investment management on wealth and pension management
BSBA-Human Resouce Development Management
BSBA-Human Resouce Development Management
English
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