The Psychology of Risk - Mastering Market Uncertainty - Hardback - 2002
Ari Kiev
Estado :
Novo
Vendido por
País de expedição : Reino Unido
Comentários do vendedor
Livro novo; R�pido do Reino Unido; N�o ficar� desapontado - New book; Fast from the UK; Will not be disappointed
Resumo
With the markets becoming more and more volatile, managing risk is more important than ever. Renowned psychiatrist Ari Kiev bridges the gap between investor psychology and quantitative risk management techniques to present a risk management program that any investor/trader can put to use.
Year of publication: 2002
Pagination: 304 pages, Ill.
Format: Hardback
Serie: Wiley Trading Advantage Series
Year of publication: 2002
Pagination: 304 pages, Ill.
Format: Hardback
Serie: Wiley Trading Advantage Series
The Psychology of Risk - Mastering Market Uncertainty -...
Resumo
With the markets becoming more and more volatile, managing risk is more important than ever. Renowned psychiatrist Ari Kiev bridges the gap between investor psychology and quantitative risk management techniques to present a risk management program that any investor/trader can put to use.
Year of publication: 2002
Pagination: 304 pages, Ill.
Format: Hardback
Serie: Wiley Trading Advantage Series
Year of publication: 2002
Pagination: 304 pages, Ill.
Format: Hardback
Serie: Wiley Trading Advantage Series
Publicidade
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Características
- Editora
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John Wiley and Sons Ltd
- Idiomas
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Inglês
- Dimensão
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230 x 162 x 27
- Peso
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658
- Colecção
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Finance & accounting
- Tema
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Investment & securities|Management decision making
- Origem
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United States
- EAN
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9780471403876
Publicidade
Publicidade