01582nam a22003017a 450000500170000000800410001702000310005804000280008905000120011710000270012924501100015625000190026626000400028530000350032550000370036050000670039750400510046450503850051565000170090065000260091765000250094370000680096883000220103690600450105894200150110399900130111895201490113120240202094637.0240202b |||||||| |||| 00| 0 eng d a9781781250716 (alk. paper) aDLCcKMUdKMUdKMUerda00aHG 45211 aStanyer, Peter,d1956-10aGuide to investment strategy :bhow to understand markets, risk, rewards, and behaviour /cPeter Stanyer. aThird edition. aNew York :bBloomberg Press,c2014. axxiv, 354 p. :bill. ;c22 cm. aAt head of title: The economist. aRev. ed. of: The Economist guide to investment strategy. 2006. aIncludes bibliographical references and index.0 aSetting the scene -- Understand your behaviour -- Market investment returns : will the markets make me rich? -- Which should we do : buy-and-hold or time markets? -- The time horizon and the shape of strategy : keep it simple -- Setting the scene -- Equities -- Credit -- Hedge funds -- Private equity : information-based investment returns -- Real estate -- Art and collectibles. 0aInvestments. 0aPortfolio management. 0aInvestment analysis.1 aStanyer, Peter,d1956-tEconomist guide to investment strategy. 0aEconomist series. a7bcbccorignewd1eecipf20gy-gencatlg 2lcccBKn0 c972d972 00102lcc40708NFICaCPLbCPLcOAd2024-02-02eBook Aid Internationall1oHG 4521 Stap750634r2025-02-05 00:00:00s2025-01-28w2024-02-02yBK