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The Economist Guide to Investment Strategy : : how to Understand Markets, Risk, Rewards, and Behaviour

Stanyer, Peter, 1956- Book - 2014 332.6 St 1 On Shelf No requests on this item Community Rating: 0 out of 5

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Call Number: 332.6 St
On Shelf At: Downtown Library

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Downtown 2nd Floor
4-week checkout
332.6 St 4-week checkout On Shelf

"First edition" erroneously appears on verso of title page.
At head of title: The economist.
Rev. ed. of: The Economist guide to investment strategy. 2010.
Part 1. The big picture. Setting the scene -- Understand your behaviour -- Market investment returns -- How should and how do investor strategies evolve? -- The time horizon and the shape of strategy : keep it simple. Part 2. Implementing more complicated strategies. Setting the scene -- Equities -- Credit -- Hedge funds -- Private equity : information-based investment returns -- Real estate -- Art and investments of passion.
Contents: Economist guide to investment strategy.

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Table of Contents
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Cover image for The Economist guide to investment strategy : : how to understand markets, risk, rewards, and behaviour


PUBLISHED
New York : Public Affairs, 2014.
Year Published: 2014
Description: xxvii, 354 pages : illustrations ; 22 cm.
Language: English
Format: Book

ISBN/STANDARD NUMBER
9781610393911
1610393910

ADDITIONAL CREDITS
Dimson, Elroy, 1947-
Stanyer, Peter, 1956-

SUBJECTS
Investments.
Portfolio management.
Investment analysis.