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The Economist Guide to Investment Strategy (3rd Ed)

How to Understand Markets, Risk, Rewards, and Behaviour

Contributors

By The Economist

By Peter Stanyer

Formats and Prices

Price

$18.99

Price

$22.00 CAD

Format

Format:

  1. Trade Paperback $18.99 $22.00 CAD
  2. ebook $13.99 $57.00 CAD

This item is a preorder. Your payment method will be charged immediately, and the product is expected to ship on or around March 4, 2014. This date is subject to change due to shipping delays beyond our control.

Supported by numerous charts and detailed analysis, The Economist Guide to Investment Strategy outlines how to construct investment strategies appropriate for individual investors.

It looks at the risks and opportunities of uncomplicated strategies and it comes with wealth-warnings for those who wish to explore more sophisticated and fashionable investment approaches. It emphasizes the importance of taking into account insights from behavioral analysis as well as the principles of traditional finance. It highlights how habitual patterns of decision-making can lead any of us into costly mistakes, and it stresses how markets are most dangerous when they appear to be most rewarding.

Series:


  • “Successfully translates sophisticated academic thinking into simple, intuitive principles that can be used by both individual and institutional investors. These principles are all the more valuable as Stanyer applies them to the full range of asset classes and investment strategies available today.” —John Campbell, Morton L. and Carole S. Olshan Professor of Economics, Harvard University

    “Over the years I've had the privilege of reviewing many investment books, but this is unquestionably one of the best. Every financial planner, wealth manager, broker, investment adviser and serious individual investor owes it to themselves to carefully read this extraordinary book.” —Harold Evensky, President, Evensky & Katz LLC

    “Peter Stanyer stands out as an extraordinarily clear thinker and he carries that clarity through to his writing in this book on, for example, hedge funds. In addition he is tremendously good at explaining what works best in establishing and adapting an investment strategy. This is a book every Chief Investment Officer should read.” —Roger Urwin, Global Head of Investment Content, Towers Watson

On Sale
Mar 4, 2014
Page Count
384 pages
Publisher
The Economist
ISBN-13
9781610393911

The Economist

About the Author

John Tennent is a coauthor of The Economist Guide to Business Modelling and The Economist Guide to Cash Management. He is an accountant, who for the past twenty years has been involved in training and consultancy with firms such as Unilever, BOC, BAE, Kraft, Thomson Corp, Cable & Wireless, BT, St Gobain, and EMI.

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Peter Stanyer

About the Author

Peter Stanyer is an independent investment economist, and advises a UK private wealth manager. He was previously chief investment officer of a US-based wealth management firm, a managing director at Merrill Lynch and investment director of the UK’s Railways Pension Fund. He has also worked as an economist for the Bank of England and the IMF, and when at Cambridge University he won the Adam Smith prize for economics.

Stephen Satchell is Economics Fellow at Trinity College Cambridge, and is a Professor at the University of Sydney. He is The Reader in Financial Econometrics (Emeritus) at Cambridge University, and is an Honorary Member of the Institute of Actuaries. He is an academic advisor to numerous financial institutions.

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