Behavioral investment management : an efficient alternative to modern portfolio theory / Greg B. Davies, Arnaud de Servigny.

By: Davies, Greg BContributor(s): Servigny, Arnaud deMaterial type: TextTextPublisher: 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:
Contents:
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
Tags from this library: No tags from this library for this title. Log in to add tags.
    Average rating: 0.0 (0 votes)
Item type Current location Call number Status Date due Barcode
Book Book
Filipiniana
332.6019 D28 2012 (Browse shelf) Available 3UCBL000010779
Book Book
332.6019 D28 2012 (Browse shelf) Available 3UCBL000008341
Browsing College Library shelves, Shelving location: Filipiniana Close shelf browser
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

There are no comments on this title.

to post a comment.

University of Cebu - Banilad | 6000, Gov. M. Cuenco Ave, Cebu City, 6000 Cebu, Philippines
Tel. 410 8822 local 7123| e-mail ucbaniladcampus.library@gmail.com

Powered by Koha