The psychology of risk : (Record no. 6246)
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| 000 -LEADER | |
|---|---|
| fixed length control field | 01852cam a2200241 4500 |
| 001 - CONTROL NUMBER | |
| control field | 7326 |
| 005 - DATE AND TIME OF LATEST TRANSACTION | |
| control field | 20181127183411.0 |
| 008 - FIXED-LENGTH DATA ELEMENTS--GENERAL INFORMATION | |
| fixed length control field | 011113s2002 nyu 001 0 eng |
| 010 ## - LIBRARY OF CONGRESS CONTROL NUMBER | |
| LC control number | 2001007197 |
| 020 ## - INTERNATIONAL STANDARD BOOK NUMBER | |
| International Standard Book Number | 0471403873 |
| 082 00 - DEWEY DECIMAL CLASSIFICATION NUMBER | |
| Classification number | 332.6/01/9 |
| Edition number | 21 |
| 100 1# - MAIN ENTRY--PERSONAL NAME | |
| Personal name | Kiev, Ari. |
| 245 14 - TITLE STATEMENT | |
| Title | The psychology of risk : |
| Remainder of title | mastering market uncertainty / |
| Statement of responsibility, etc. | Ari Kiev. |
| 260 ## - PUBLICATION, DISTRIBUTION, ETC. | |
| Place of publication, distribution, etc. | New York : |
| Name of publisher, distributor, etc. | Wiley, |
| Date of publication, distribution, etc. | c2002. |
| 300 ## - PHYSICAL DESCRIPTION | |
| Extent | xi, 292 p. ; |
| Dimensions | 24 cm. |
| 500 ## - GENERAL NOTE | |
| General note | Includes index. |
| 505 ## - FORMATTED CONTENTS NOTE | |
| Formatted contents note | The Psychology of Risk Mastering Market Uncertainty; PREFACE; ACKNOWLEDGMENTS; CONTENTS; Introduction; PART ONE THE ESSENTIALS OF RISK TAKING; Chapter One: Defining Risk; Chapter Two: Understanding the Approach; PART TWO THE PROBLEMS OF RISK; Chapter Three: Handling Your Emotions; Chapter Four: Learning to Let Go; PART THREE THE PERSONALITIES OF RISK; Chapter Five: Profiling Passive Traders; Chapter Six: Profiling the High-Risk Trader; Chapter Seven: Recognizing the Master Trader; PART FOUR THE PRACTICE OF RISK TAKING; Chapter Eight: Increasing Your Risk. |
| Miscellaneous information | |
| Statement of responsibility | |
| Title | |
| 520 ## - SUMMARY, ETC. | |
| Summary, etc. | One of the financial world's most respected experts on the psychology of risk provides a revolutionary risk management model. Over the past three decades investors have adopted all varieties of complex quantitative systems for quantifying and managing risk. Yet, sophisticated investors and money managers continue to suffer record losses in today's increasingly volatile markets. This book bridges the gap between investor psychology and quantitative risk management with a revolutionary risk management program that virtually any trader or investor can easily adapt to their goals and personalities. |
| 650 #0 - SUBJECT ADDED ENTRY--TOPICAL TERM | |
| Topical term or geographic name entry element | Investments |
| General subdivision | Psychological aspects. |
| Topical term or geographic name entry element | Portfolio management. |
| Topical term or geographic name entry element | Risk management. |
| Withdrawn status | Lost status | Source of classification or shelving scheme | Damaged status | Not for loan | Collection code | Home library | Current library | Shelving location | Serial Enumeration / chronology | Inventory number | Total Checkouts | Full call number | Barcode | Date last seen | Price effective from | Koha item type |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Dewey Decimal Classification | Main TEST | RTC Library | RTC Library | Main opac | 11281 | 332.6 KIE | 30011090 | 27/11/2018 | 27/11/2018 | Main |