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An Introduction to Behavioral Finance and Asset Management - Yannick Coulon

An Introduction to Behavioral Finance and Asset Management

A Guide for Students and Professionals in Wealth Management

(Autor)

Buch | Softcover
XVII, 118 Seiten
2024
Springer International Publishing (Verlag)
978-3-031-72552-4 (ISBN)
CHF 74,85 inkl. MwSt
  • Noch nicht erschienen - erscheint am 04.12.2024
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This book introduces readers to behavioral finance applied to wealth management. It explains essential behavioral biases and their damaging consequences including financial bubbles, and Prospect Theory. Additionally, it establishes fundamental rules for improving the structuring and protection of wealth. Despite its practical and didactic aspects, the book is accessible without sacrificing the depth of the subject. Aimed at students, asset managers, financial advisors, and investors, the book explores the behavioral approach on financial decisions and examines the psychology around investor behavior.

Yannick Coulon has 15 years of banking experience with both the Suez Group in France and UBS in Switzerland and 10 years of experience with Iomega Corporation as product manager for the Zip Drive in Europe. He also teaches corporate and behavioral finance at various business and engineering schools in Brittany, France. He owns and manages four golf courses with his brother in western and southern France. He, therefore, has dual experience in teaching and managing small private companies.

Chapter 1: Introduction to Behavioral Finance.- Chapter 2: Behavioral Questionnaire.- Chapter 3: Essential Behavioral Biases.- Chapter 4: The Prospect Theory.- Chapter 5: Essential Principles of Wealth Management Undermined.- Chapter 6: Investment Solutions.- Chapter 7: Conclusion.

Erscheinungsdatum
Zusatzinfo XVII, 118 p. 46 illus., 44 illus. in color.
Verlagsort Cham
Sprache englisch
Maße 155 x 235 mm
Themenwelt Wirtschaft Betriebswirtschaft / Management Finanzierung
Schlagworte Asset Management • Behavioral Biases • Behavioral Finance • essential behavioral biases • Financial Bubbles • investing psychology • investment psychology • Investor Sentiment • Prospect Theory • Risk Management • Wealth Management
ISBN-10 3-031-72552-2 / 3031725522
ISBN-13 978-3-031-72552-4 / 9783031725524
Zustand Neuware
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