An introduction to behavioral finance and asset management: a guide for students and professionals in wealth management
Material type:
- 9783031725224
- 332.6019 COU
Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|---|
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Indian Institute of Management LRC General Stacks | Finance & Accounting | 332.6019 COU (Browse shelf(Opens below)) | 1 | Available | 008572 |
Table of contents:
Front Matter
Pages i-xvii
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Introduction to Behavioral Finance
Yannick Coulon
Pages 1-24
Behavioral Questionnaire
Yannick Coulon
Pages 25-27
Essential Behavioral Biases
Yannick Coulon
Pages 29-54
The Prospect Theory
Yannick Coulon
Pages 55-68
Essential Principles of Wealth Management Undermined
Yannick Coulon
Pages 69-80
Investment Solutions
Yannick Coulon
Pages 81-104
Conclusion
Yannick Coulon
Pages 105-108
Behavioral Finance Test
Yannick Coulon
Pages 109-112
Back Matter
Pages 113-118
[https://link.springer.com/book/10.1007/978-3-031-72553-1]
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.
(https://link.springer.com/book/10.1007/978-3-031-72553-1)
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