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Books > Business & Economics > Business & management > Management & management techniques > Management decision making

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The Psychology of Risk - Mastering Market Uncertainty (Hardcover) Loot Price: R1,266
Discovery Miles 12 660
You Save: R388 (23%)
The Psychology of Risk - Mastering Market Uncertainty (Hardcover): A. Kiev

The Psychology of Risk - Mastering Market Uncertainty (Hardcover)

A. Kiev

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List price R1,654 Loot Price R1,266 Discovery Miles 12 660 | Repayment Terms: R119 pm x 12* You Save R388 (23%)

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Praise for The PSYCHOLOGY of RISK

"The Psychology of Risk is equally vital for everyone from the day trader to short-term online trader to long-term investor. A clear, enjoyable insight into what makes trading success."
–Alpesh B. Patel, Financial Times columnist and author of Trading Online

"Once again Dr. Kiev delivers a book that should be read cover to cover and kept as a reference. The Psychology of Risk explores the elements of risk taking as they relate to the human psyche."
–John Floyd, Director, Proprietary Trading, Deutsche Bank AG

"In 2000 and 2001, benchmark U.S. equity indices experienced the worst two-year performance since the bear market of 1973—74. Among the winners in this tumultuous market environment were those that invested with short time horizons rather than those that utilized a rigid buy-and-hold ‘one decision’ philosophy. Against this backdrop, Kiev, in his familiar pull-no-punches style, delivers an insightful, timely, and pragmatic thesis that focuses on the inner game of trading: psychology, discipline, and the holy grail–timing. A captivating read for those in search of a performance edge."
–Ciaran T. O’Kelly, Head of Equity Trading, Salomon Smith Barney

"Ari has proven himself to be a keen coach of world-class traders. The Psychology of Risk is a great read for those looking to better understand what it takes to put oneself at risk in the market."
–Kevin Becker, CIO, Claiborne Capital Management, LP

"Ari Kiev has done it again. One of Wall Street’s preeminent trading coaches, he explores some useful principles of risk taking which will help traders to take their game to the next level."
Jay Goldman, Hedge Fund Manager, Goldman & Co., LP

General

Imprint: John Wiley & Sons
Country of origin: United States
Release date: May 2002
First published: April 2002
Authors: A. Kiev
Dimensions: 229 x 152 x 18mm (L x W x T)
Format: Hardcover
Pages: 304
ISBN-13: 978-0-471-40387-6
Categories: Books > Business & Economics > Finance & accounting > Finance > Investment & securities > General
Books > Business & Economics > Business & management > Management & management techniques > Management decision making > General
Books > Money & Finance > Investment & securities > General
LSN: 0-471-40387-3
Barcode: 9780471403876

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