Beyond Greed and Fear
Understanding Behavioral Finance and the Psychology of Investing
(Sprache: Englisch)
This book provides a comprehensive treatment of behavioral finance for a practitioner audience. With the use of the latest psychological research, Shefrin helps us to understand the human behaviour that guides stock selection, financial services, and corporate financial strategy.
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Produktinformationen zu „Beyond Greed and Fear “
This book provides a comprehensive treatment of behavioral finance for a practitioner audience. With the use of the latest psychological research, Shefrin helps us to understand the human behaviour that guides stock selection, financial services, and corporate financial strategy.
Klappentext zu „Beyond Greed and Fear “
This book provides a comprehensive treatment of behavioral finance for a practitioner audience. With the use of the latest psychological research, Shefrin helps us to understand the human behaviour that guides stock selection, financial services, and corporate financial strategy.
Inhaltsverzeichnis zu „Beyond Greed and Fear “
- Preface
- Part I: What Is Behavioral Finance
- 1: Introduction
- 2: Heuristic-Driven Bias: The First Theme
- 3: Frame Dependence: The Second Theme
- 4: Inefficient Markets: The Third Theme
- Part II: Prediction
- 5: Trying to Predict the Market
- 6: Sentimental Journey: The Illusion of Validity
- 7: Picking Stocks to Beat the Market
- 8: Biased Reactions to Earnings Announcements
- Part III: Individual Investors
- 9: "Get-Evenitis": Riding Losers Too Long
- 10: Portfolios, Pyramids, Emotions, and Biases
- 11: Retirement Saving: Myopia and Self-Control
- Part IV: Institutional Investors
- 12: Open-Ended Mutual Funds: Misframing, "Hot Hands", and Obfuscation Games
- 13: Closed-End Funds: What Drives Discounts?
- 14: Fixed Income Securities: The Full Measure of Behavioral Phenomena
- 15: The Money Management Industry: Framing Effects, Style "Diversification", and Regret
- Part V: The Interface between Corporate Finance and Investment
- 16: Corporate Takeovers and the Winner's Curse
- 17: IPOs: Initial Underpricing, Long-term Underperformance, and "Hot-Issue" Markets
- 18: Optimism in Analysts' Earnings Predictions and Stock Recommendations
- Part VI: Options, Futures, and Foreign Exchange
- 19: Options: How They're Used, How They're Priced, and How They Reflect Sentiment
- 20: Commodity Futures: Orange Juice and Sentiment
- 21: Excessive Speculation in Foreign Exchange Markets
- Final Remarks
- Notes
- References
- Credits
- Index
Autoren-Porträt von Hersh Shefrin
Hersh Shefrin holds the Mario L. Belotti Chair in Finance at the Leavey School of Business, Santa Clara University.Bibliographische Angaben
- Autor: Hersh Shefrin
- 2007, Revised Edition, 368 Seiten, Maße: 15,6 x 23,6 cm, Kartoniert (TB), Englisch
- Verlag: Oxford University Press
- ISBN-10: 0195304217
- ISBN-13: 9780195304213
Sprache:
Englisch
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