Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (Economist) - Tapa dura

Stanyer, Peter

 
9781576603420: Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (Economist)

Sinopsis

Investors and their advisors face a dizzying array of options when selecting investments and now know—more than ever—how critical their choices are. Extensively revised to reflect the lessons of the credit crisis and the emergence of fraud on a a massive scale, this book shows how to construct strategies appropriate for each investor. With its detailed analysis, supported by data and anecdotes from investing experience, it is above all a practical guide.

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Acerca de los autores

Peter Stanyer has twenty years' experience advising individuals and institutions on investment strategy and investment risk. He is the former chief investment officer of Philadelphia-bases Overture Investments LLC and served as a managing director of Merrill Lynch. He has also worked as an economist for the Bank of England and the International Monetary Fund.


Peter Stanyer is an economist and strategist at Delmore Asset Management, a London-based private wealth manager. He also serves on the investment committees of two large pension funds and of one college endowment. He was previously chief investment officer of a US-based investment firm, a managing director at Merrill Lynch, and investment director of the UK's Railways Rail Pension Fund. He has also worked as an economist for the Bank of England and the IMF, and when at Cambridge University he won the Adam Smith prize for economics.

De la contraportada

"The first edition of Peter Stanyer's Guide to Investment Strategy stressed the advantages of 'keep-it-simple' strategies and the need for investors to start by 'knowing themselves'. Both proved critically important in the years that immediately followed. The second edition provides an astute and accessible analysis of how the different markets fared in the credit crunch and of both simple and more complicated strategies for investors."
Jeremy Marshall, CEO, C.Hoare and Co

"The first edition of this guide was both timely and prescient, and I am sure the second edition will prove equally so. I especially enjoyed the new chapter on investing in art and collectibles and reflected that victims of recent high-profile Ponzi schemes would have done well to have read the section on trusting your adviser."
Dr Steve Satchell, Reader of Financial Econometrics, Cambridge University, and Fellow, Trinity College, Cambridge

On the first edition

"An excellent guide to investment strategy, summarising the latest thinking in a concise, readable format."
John Campbell, Professor of Economics, Harvard University

"Excellent ... written in a highly accessible fashion ... takes full account of behavioural finance findings in addition to traditional finance."
Thomas Sowanick, Co-President and Chief Investment Officer of Omnivest Group LLC

"Will server trustees, investment managers and high net worth investors well in their quest for solid investment results at sensible risks."
Robert D. Arnott, Chairman, Research Affiliates, LLC

"Sobre este título" puede pertenecer a otra edición de este libro.

Otras ediciones populares con el mismo título

9781610399791: Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behaviour (Economist Books)

Edición Destacada

ISBN 10:  161039979X ISBN 13:  9781610399791
Editorial: Economist the, 2018
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