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投资者情绪和投资者行为的经验研究

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作者:[美]詹姆斯·达尔顿、艾里克·琼斯、罗伯特·达尔顿、郑磊 译
出版社:机械工业出版社
出版时间:2017年07月
装订方式:平装-胶订
“华尔街教父”本杰明·格雷厄姆说过:“投资者面临的首要问题,乃至投资中的首要敌人,很可能就是其自己。”认知偏差、情绪驱使和过度自信,是投资者诸多行为缺陷中的三种典型表现。这些行为缺陷会让投资者收益降低,甚至可能给投资者和金融机构造成数十亿美元的损失。   幸运的是,行为金融学认识到了投资者这些心理因素的影响,并已经成为当代金融学的主流。将行为金融学的原则应用于投资,有助于避免这些缺陷的影响。   在这本书里,行为金融学家詹姆斯·蒙蒂尔将带你认识常见的行为偏差和心理缺陷,并提供了大量简单有效的规避策略。不仅如此,书中还讲述了许多成功投资家有据可考的轶事,包括巴菲特、索罗斯、卡拉曼、伯克维茨等等。你可以从这些出色的投资者身上学到如何应对侵蚀收益的行为偏差。   事前准备、制定规划并遵守规划;在冷静状态下进行投资研究,然后严格按照规划行事,避免情绪波动带来的影响;专注于洞察现状,不要试图预测未来;在投资中要关注过程而非结果……本书提供了一系列历经了时间检验的有效方法。遵循这些简单的方法,投资者就能学会战胜投资中的首要敌人——自己。

Paperback

Published January 1, 2017

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About the author

James Montier

15 books83 followers
James Montier is an expert in behavioral finance, argues that investors would have a greater chance of spotting the formation of bubbles if they could only brush up on their history and have a greater awareness of human psychology. He has been a top-rated strategist in the annual Thomson Reuters Extel survey for the last five years. When not reading, writing, or speaking, Montier can usually be found swimming with sharks and blowing bubbles at fishes.


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