Behavioralizing Finance

Behavioralizing Finance
Author: Hersh Shefrin
Publsiher: Now Publishers Inc
Total Pages: 196
Release: 2010
Genre: Business & Economics
ISBN: 9781601983305

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Behavioralizing Finance provides a structured approach to behavioral finance in respect to underlying psychological concepts, formal framework, testable hypotheses, and empirical findings.

Behavioral Investment Management An Efficient Alternative to Modern Portfolio Theory

Behavioral Investment Management  An Efficient Alternative to Modern Portfolio Theory
Author: Greg B. Davies,Arnaud de Servigny
Publsiher: McGraw Hill Professional
Total Pages: 400
Release: 2012-01-12
Genre: Business & Economics
ISBN: 9780071748353

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The End of Modern Portfolio Theory Behavioral Investment Management proves what many have been thinking since the global economic downturn: Modern Portfolio Theory (MPT) is no longer a viable portfolio management strategy. Inherently flawed and based largely on ideology, MPT can not be relied upon in modern markets. Behavioral Investment Management offers a new approach-one addresses certain realities that MPT ignores, including the fact that emotions play a major role in investing. The authors lay out new standards reflecting behavioral finance and dynamic asset allocation, then explain how to apply these standards to your current portfolio construction efforts. They explain how to move away from the idealized, black-and-white world of MPT and into the real world of investing--placing heavy emphasis on the importance of mastering emotions. Behavioral Investment Management provides a portfolio-management standard for an investing world in disarray. PART 1- The Current Paradigm: MPT (Modern Portfolio Theory); Chapter 1: Modern Portfolio Theory as it Stands; Chapter 2: Challenges to MPT: Theoretical-the assumptions are not thus; Chapter 3: Challenges to MPT: Empirical-the world is not thus; Chapter 4: Challenges to MPT: Behavioural-people are not thus; Chapter 5: Describing the Overall Framework: Investors and Investments; PART 2- Amending MPT: Getting to BMPT; Chapter 1:Investors-The Rational Investor; Chapter 2: Investments-Extracting Value from the long-term; Chapter 3: Investments-Extracting Value from the short-term; Chapter 4: bringing it together, the new BMPT paradigm; PART 3- Emotional Insurance: Sticking with the Journey; Chapter 1: Investors- the emotional investor; Chapter 2: Investments- Constraining the rational portfolio; PART 4- Practical Implications; Chapter 1: The BMPT and Wealth Management; Chapter 2: The BMPT and the Pension Industry; Chapter 3: The BMPT and Asset Managemen

Corporate Finance

Corporate Finance
Author: Pascal Quiry,Pierre Vernimmen
Publsiher: John Wiley & Sons
Total Pages: 1027
Release: 2011-09-26
Genre: Business & Economics
ISBN: 9781119975588

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Rev. ed. of: Corporate finance: theory and practice / Pierre Vernimmen. 2005.

Corporate Finance

Corporate Finance
Author: Pierre Vernimmen,Pascal Quiry,Maurizio Dallocchio,Yann Le Fur,Antonio Salvi
Publsiher: John Wiley & Sons
Total Pages: 994
Release: 2014-10-09
Genre: Business & Economics
ISBN: 9781118849293

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Merging theory and practice into a comprehensive, highly-anticipated text Corporate Finance continues its legacy as one of the most popular financial textbooks, with well-established content from a diverse and highly respected author team. Unique in its features, this valuable text blends theory and practice with a direct, succinct style and commonsense presentation. Readers will be introduced to concepts in a situational framework, followed by a detailed discussion of techniques and tools. This latest edition includes new information on venture finance and debt structuring, and has been updated throughout with the most recent statistical tables. The companion website provides statistics, graphs, charts, articles, computer models, and classroom tools, and the free monthly newsletter keeps readers up to date on the latest happenings in the field. The authors have generously made themselves available for questions, promising an answer in seventy-two hours. Emphasizing how key concepts relate to real-world situations is what makes Corporate Finance a valuable reference with real relevance to the professional and student alike. Readers will gain insight into the methods and tools that shape the industry, allowing them to: Analyze investments with regard to hurdle rates, cash flows, side costs, and more Delve into the financing process and learn the tools and techniques of valuation Understand cash dividends and buybacks, spinoffs, and divestitures Explore the link between valuation and corporate finance As the global economy begins to recover, access to the most current information and statistics will be required. To remain relevant in the evolving financial environment, practitioners will need a deep understanding of the mechanisms at work. Corporate Finance provides the expert guidance and detailed explanations for those requiring a strong foundational knowledge, as well as more advanced corporate finance professionals.

EBOOK Behavioral Corporate Finance 2 e

EBOOK  Behavioral Corporate Finance  2 e
Author: SHEFRIN
Publsiher: McGraw Hill
Total Pages: 491
Release: 2018-05-18
Genre: Business & Economics
ISBN: 9781526871992

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EBOOK: Behavioral Corporate Finance, 2/e

Behavioral Finance

Behavioral Finance
Author: Rolf J. Daxhammer,Mate Facsar,Zsolt Alexander Papp
Publsiher: UVK Verlag
Total Pages: 404
Release: 2023-01-30
Genre: Business & Economics
ISBN: 9783739881195

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Over the last 50 years, neoclassical financial theory has been dominating our perception of what is happening in financial markets. It has spurred numerous valuable theories and concepts all based on the concept of Homo Economicus, the strictly rational economic man. However, humans do not always act in a strictly rational manner. For students and practitioners alike, our book aims at opening the door to another perspective on financial markets: a behavioral perspective based on a Homo Oeconomicus Humanus. This agent acts with limited rationality when making decisions. He/she uses heuristics and shortcuts and is prone to the influence of emotions. This sounds familiar in real life and can be transferred to what happens in financial markets, too.

The Oxford Handbook of Banking and Financial History

The Oxford Handbook of Banking and Financial History
Author: Youssef Cassis,Richard S. Grossman,Catherine R. Schenk
Publsiher: Oxford University Press
Total Pages: 561
Release: 2016-07-21
Genre: Business & Economics
ISBN: 9780191633225

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The financial crisis of 2008 aroused widespread interest in banking and financial history among policy makers, academics, journalists, and even bankers, in addition to the wider public. References in the press to the term 'Great Depression' spiked after the failure of Lehman Brothers in November 2008, with similar surges in references to 'economic history' at various times during the financial turbulence. In an attempt to better understand the magnitude of the shock, there was a demand for historical parallels. How severe was the financial crash? Was it, in fact, the most severe financial crisis since the Great Depression? Were its causes unique or part of a well-known historical pattern? And have financial crises always led to severe depressions? Historical reflection on the recent financial crises and the long-term development of the financial system go hand in hand. This volume provides the material for such a reflection by presenting the state of the art in banking and financial history. Nineteen highly regarded experts present chapters on the economic and financial side of banking and financial activities, primarily though not solely in advanced economies, in a long-term comparative perspective. In addition to paying attention to general issues, not least those related to theoretical and methodological aspects of the discipline, the volume approaches the banking and financial world from four distinct but interrelated angles: financial institutions, financial markets, financial regulation, and financial crises.

Market Risk and Financial Markets Modeling

Market Risk and Financial Markets Modeling
Author: Didier Sornette,Sergey Ivliev,Hilary Woodard
Publsiher: Springer Science & Business Media
Total Pages: 268
Release: 2012-02-03
Genre: Business & Economics
ISBN: 9783642279317

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The current financial crisis has revealed serious flaws in models, measures and, potentially, theories, that failed to provide forward-looking expectations for upcoming losses originated from market risks. The Proceedings of the Perm Winter School 2011 propose insights on many key issues and advances in financial markets modeling and risk measurement aiming to bridge the gap. The key addressed topics include: hierarchical and ultrametric models of financial crashes, dynamic hedging, arbitrage free modeling the term structure of interest rates, agent based modeling of order flow, asset pricing in a fractional market, hedge funds performance and many more.