INVESTMENT TRAPS EXPOSED: NAVIGATING INVESTOR MISTAKES AND BEHAVIORAL BIASES
Book ID/图书代码: 04331417C00018
English Summary/英文概要: Given the complex and challenging world of investing, what chance do individuals have navigating the financial minefield and emerging unscathed? Not much, unless they become knowledgeable about investment fundamentals, recognize and correct their mistakes and behavioral biases, and avoid traps strewn along their path. Investment Traps Exposed guides investors past such potential pitfalls as pyramid and Ponzi schemes to help them become more financially successful.
Investment Traps Exposed helps investors and advisors increase their awareness about the external and internal traps that they or their clients can encounter. Baker and Puttonen not only examine common mistakes, assumptions and deceptions that can ensnare investors, affect sound judgment, and reduce wealth but also delve into how to recognize and avoid these errors. The authors present practical advice and real-world examples in a user-friendly manner, and also nudge investors to stay on the right course to mitigate misbehaving.
Chinese Summary/中文概要: 在這個錯綜複雜、充滿挑戰的投資世界,一個人有什麼機會能通過金融雷區且毫髮無傷?
這樣的機會並不多,除非他們對投資基礎知識有所了解,勇於承認錯誤並糾正他們的認知偏誤,才能夠免除沿著他們道路所設下的投資陷阱。
本書引導讀者超越金字塔和龐氏騙局等潛在陷阱,幫助他們在財務上取得更大的成功。
幫助投資者和理財顧問提高他們的危機意識,使他們有能力識別可能遇到的外部和內部陷阱。 Baker和Puttonen不僅檢查可能引誘投資者、影響他合理判斷的常見錯誤、假設和騙局,並且深入研究如何識別和避免犯下這些認知錯誤。
作者以簡明易懂的方式提供實用的建議和實例,使投資者在這片投資茫茫大海中能保持正確的方向,降低迷航或沈船的機率。(ZOE)
Awards/获奖情况:Baker and Puttonen help people who invest money recognize and avoid common mistakes, behavioral biases, and investment traps that can reduce wealth. The traps they describe are pyramid and Ponzi schemes, other investment frauds, misrepresenting risky products as safe, making unrealistic return expectations, falling for mutual fund traps, overpaying for products and services, investing in complex products, gambling disguised as investing, and relying on unsupported promises. Distributed in North America by Turpin Distribution.--Annotation (c)2017 "(protoview.com) "
About the Author/作者介绍: H. Kent Baker, CFA, CMA, is University Professor of Finance in the Kogod School of Business at American University. He has authored or edited books 28 books and more than 250 other publications in such outlets as the Journal of Finance, Journal of Financial and Quantitative Analysis, Financial Management, Financial Analysts Journal, and Journal of Portfolio Management. Several sources rank him among the top 1 percent of the most prolific academic authors in finance during the past 50 years. Professor Baker has consulting and training experience with more than 100 organizations. He has eight earned degrees including three doctorates.
Vesa Puttonen is Professor of Finance at Aalto University School of Business. His research has been published in Management Science, Financial Analysts Journal, Financial Management, European Financial Management, Journal of Banking and Finance, and Journal of Asset Management among others. He has worked as Senior Vice President at the Helsinki Stock Exchange and as Managing Director at Conventum Asset Management (Helsinki). Professor Puttonen is a faculty member of MBA Programs in Helsinki, Hong Kong, Singapore, Poland, China, Iran, Taiwan and South Korea.
Format:HARDCOVER
Rights Status/版权销售情况:Simplified Chinese/简体中文:AVAILABLE
Complex/Traditional Chinese/繁体中文:AVAILABLE
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