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  • Behavioral finance and wealth management : = how to build optimal portfolios that account for investor biases /
  • 紀錄類型: 書目-語言資料,印刷品 : Monograph/item
    正題名/作者: Behavioral finance and wealth management :/ Michael M. Pompian.
    其他題名: how to build optimal portfolios that account for investor biases /
    作者: Pompian, Michael M.,
    出版者: Hoboken, N.J. :Wiley, : c2006.,
    面頁冊數: xvii, 317 p. :ill. ;24 cm.
    附註: Series from jacket.
    內容註: What is behavioral finance? -- The history of behavioral finance micro -- Incorporating investor behavior into the asset allocation process -- Overconfidence bias -- Representativeness bias -- Anchoring and adjustment bias -- Cognitive dissonance bias -- Availability bias -- Self-attribution bias -- Illusion of control bias -- Conservatism bias -- Ambiguity aversion bias -- Endowment bias -- Self-control bias -- Optimism bias -- Mental accounting bias -- Confirmation bias -- Hindsight bias -- Loss aversion bias -- Recency bias -- Regret aversion bias -- Framing bias -- Status quo bias -- Case studies -- Gender, personality type, and investor behavior -- Investor personality types -- Neuroeconomics.
    標題: Investments - Decision making. -
    電子資源: http://www.loc.gov/catdir/toc/ecip061/2005027756.htmlhttp://www.loc.gov/catdir/toc/ecip061/2005027756.html
    ISBN: 0471745170 (hbk.) :
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W0053116 六樓西文書區HC-Z(6F Western Language Books) 01.外借(書)_YB 一般圖書 HG4515.15 P66 2006 一般使用(Normal) 在架 0
  • 1 筆 • 頁數 1 •
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