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Success in a Low-Return World : Using Risk Management and Behavioral Finance to Achieve Market Outperformance

Author: Michael J Oyster
Publisher: Cham Springer International Publishing 2018
Edition/Format:   Computer file : EnglishView all editions and formats
Summary:

Far more likely, the return an investor may receive from the stock market will be slightly better than half the long-term average, about 5% to 7%.Most investment portfolios hold a greater allocation  Read more...

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Additional Physical Format: Erscheint auch als:
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Erscheint auch als:
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Material Type: Internet resource
Document Type: Internet Resource, Computer File
All Authors / Contributors: Michael J Oyster
ISBN: 9783319998558 3319998552
OCLC Number: 1078661710
Description: 1 Online-Ressource (XXI, 269 p. 28 illus)
Contents: Table of ContentsPART ONE: CHALLENGES IN INVESTINGChapter 1: The Future Isn't What it Used to Be Chapter 2: An Obsolete Fundamental PhilosophyChapter 3: As a Group, Professional Investors Are the MarketChapter 4: The Specifics of Market EfficiencyChapter 5: Fund Manager FeesChapter 6: To Err Is To Be Human. To Make a Behavioral Error Is To Be a Human InvestorChapter 7: How Regulations Impact Investment ManagersChapter 8: Performance Doesn't Tell the Whole StoryPART TWO: SOLUTIONSChapter 9: IntuitionChapter 10: Focus on Asset AllocationChapter 11: IndexingChapter 12: Active Share and Private EquityChapter 13: MomentumChapter 14: Smart BetaChapter 15: Risk ManagementChapter 16: Buy-WriteChapter 17: Put SellingChapter 18: The Options Income IndexChapter 19: Portable AlphaChapter 20: Epilogue
Responsibility: by Michael J. Oyster.

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