Financial Risk Taking / Wiley Trading Series (PDF)
An Introduction to the Psychology of Trading and Behavioural Finance
(Sprache: Englisch)
In Financial Risk Taking, trader and psychologist Mike Elvin
explores the complex relationship between human behaviour patterns
and the markets, offering the reader a context in which to assess
their own strengths and weaknesses as investors. The book...
explores the complex relationship between human behaviour patterns
and the markets, offering the reader a context in which to assess
their own strengths and weaknesses as investors. The book...
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Produktinformationen zu „Financial Risk Taking / Wiley Trading Series (PDF)“
In Financial Risk Taking, trader and psychologist Mike Elvin
explores the complex relationship between human behaviour patterns
and the markets, offering the reader a context in which to assess
their own strengths and weaknesses as investors. The book offers an
apposite and uncomplicated system of skills development in the form
of competences and competencies that can be applied anywhere along
the continuum from casual investor to full-time day trader. Elvin
presents a Comprehensive Model of Trading Competence (the MOT) as
well as the concepts of analysis and refutation, the paramouncy
principle, and self-sabotaging behaviours such as the Santa Claus
syndrome and Bohica effect.
Areas covered include:
* Emotions - are they functional or disabling? How do the
mechanisms of fear, greed and panic work?
* Motivation and perception - how do belief paradigms affect
perception and performance?
* What perceptual errors influence decisions to the trader's
detriment?
* Information processing and risk assessment - how does
information overload affect Stress How does stress affect
investment decisions?
* Technological and mathematical anxiety - why do we avoid
learning the skills we most need? What levels of ability are
required?
* Can psychological and biological theories assist in our
understanding of investors' performance?
explores the complex relationship between human behaviour patterns
and the markets, offering the reader a context in which to assess
their own strengths and weaknesses as investors. The book offers an
apposite and uncomplicated system of skills development in the form
of competences and competencies that can be applied anywhere along
the continuum from casual investor to full-time day trader. Elvin
presents a Comprehensive Model of Trading Competence (the MOT) as
well as the concepts of analysis and refutation, the paramouncy
principle, and self-sabotaging behaviours such as the Santa Claus
syndrome and Bohica effect.
Areas covered include:
* Emotions - are they functional or disabling? How do the
mechanisms of fear, greed and panic work?
* Motivation and perception - how do belief paradigms affect
perception and performance?
* What perceptual errors influence decisions to the trader's
detriment?
* Information processing and risk assessment - how does
information overload affect Stress How does stress affect
investment decisions?
* Technological and mathematical anxiety - why do we avoid
learning the skills we most need? What levels of ability are
required?
* Can psychological and biological theories assist in our
understanding of investors' performance?
Inhaltsverzeichnis zu „Financial Risk Taking / Wiley Trading Series (PDF)“
List of Figures. Foreword. Contrarian Investment Strategies. Acknowledgements. 1. Introduction: Between Scylla and Charybdis. 2. Understanding Trading Competence. 3. A Comprehensive Model of Trading Competence. Part A: The Tactical Model of Trading Competence. Part B: The Strategic Model of Trading Competence. 4. Taming Stress to Become a Better Trader. 5. The Psychology of Perceptual Bias. 6. Emotions, Emotional Intelligence, and the Trader. 7. Martial Arts and Budo Zen - Controlling Fear and Self-Sabotage. 8. Standards and Criteria for Trading Competence. Appendix 1: Reading List. Appendix 2: Websites of Interest. Appendix 3: Courses and Seminars. Bibliography. Index.
Autoren-Porträt von Mike Elvin
Mike Elvin graduated in Psychology from the University ofSussex and subsequently received a scholarship from the Home Office
to write a thesis at the University of Kent at Canterbury. He was
employed as a psychologist by the renowned Professor RG Andry, at
the University of London, undertaking research and practice in
psychiatric therapeutic communities.
For some years, D. Elvin managed Community Mental Health
Services in London, UK, and was seconded to the University of
Kingston Business School to study Business Administration. At that
time, he was trading stocks and shares part time with considerable
success. He resigned his management post o undertake employment as
a full-time trader and to develop trading systems with Tom Williams
at Genie Software Ltd. Dr. Elvin teaches and writes on the
psychology of trading, behavioural finance, and technical analysis
giving individual tuition and seminars. He wrote Financial Risk
Taking following research over eight years, which included
interviewing home and professional traders, mainly in the UK. He
holds approved status as an expert witness in Sweet and
Maxwell's Law Directory of Experts and is developing a
diploma course for traders in the UK.
Bibliographische Angaben
- Autor: Mike Elvin
- 2004, 1. Auflage, 294 Seiten, Englisch
- Verlag: John Wiley & Sons
- ISBN-10: 0470020725
- ISBN-13: 9780470020722
- Erscheinungsdatum: 31.08.2004
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- Grösse: 1.33 MB
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Sprache:
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