The psychology of risk : mastering market uncertainty
Year of publication: |
c2002
|
---|---|
Authors: | Kiev, Ari |
Publisher: |
New York, NY : Wiley |
Subject: | Anlageverhalten | Behavioural finance | Risikomanagement | Risk management | Portfolio-Management | Portfolio selection | Risikopräferenz | Risk attitude | Entscheidung bei Unsicherheit | Finanzpsychologie |
Description of contents: | Table of Contents [gbv.de] ; Description [swbplus.bsz-bw.de] |
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Collective risk-taking decisions with heterogeneous beliefs
Gollier, Christian, (2003)
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Italian asset managers' behavior : evidence on overconfidence, risk taking and gender
Beckmann, Daniela, (2007)
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Average drawdown risk reduction and risk tolerances
Tavakoli Baghdadabad, Mohammad Reza, (2014)
- More ...
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Mastering trading stress : strategies for maximizing performance
Kiev, Ari, (2008)
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Hedge fund leadership : how to inspire peak performance from traders and money managers
Kiev, Ari, (2008)
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Ostacles to medical progress in Haiti
Kiev, Ari, (1966)
- More ...