Isbn: 9783565488018 - signals beneath financial panic: market risk management through rational investing and objective balance sheet evaluation (3 risultati)

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    • Lingua: Inglese

      Editore: Epubli, 2026

      3565488018 / 9783565488018

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      Da: AHA-BUCH GmbH, Einbeck, GermaniaAHA-BUCH GmbH

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      Condizione: Nuovo

      EUR 45,99

      EUR 63,09 spedizione 
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      Taschenbuch. Condizione: Neu. Druck auf Anfrage Neuware - Printed after ordering - Investment decisions rarely fail because information is unavailable. They fail because judgment deteriorates under pressure. Rational investing depends on the ability to interpret financial signals without becoming consumed by fear, optimism, or market imitation. This book examines how investors build analytical stability in environments dominated by volatility and speculation.Using the foundations of value investing, the text explains how balance sheets, earnings structures, and pricing discrepancies reveal the underlying quality of a business. Readers learn why markets frequently overreact to temporary events and how disciplined investors recognize opportunities hidden beneath widespread uncertainty.The book also explores risk management beyond diversification slogans. It analyzes the structural relationship between valuation, timing, liquidity, and investor behavior. Instead of chasing momentum, readers are encouraged to understand how capital preservation supports long-term performance.Another central theme is emotional control. Short-term market narratives often reward impulsive reactions, yet durable investing depends on consistency, patience, and analytical restraint. The book explains how experienced investors reduce exposure to psychological distortions while maintaining strategic flexibility.Across European financial markets increasingly influenced by geopolitical shifts and unstable growth cycles, disciplined investment frameworks continue to provide a critical advantage for serious investors and decision-makers.

    • Lingua: Inglese

      Editore: epubli, 2026

      3565488018 / 9783565488018

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      Da: preigu, Osnabrück, Germaniapreigu

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      Taschenbuch. Condizione: Neu. Signals Beneath Financial Panic | Market risk management through rational investing and objective balance sheet [.] | Tyler Ashford | Taschenbuch | Englisch | epubli | EAN 9783565488018 | Verantwortliche Person für die EU: Neopubli GmbH (Imprint: epubli), Köpenicker Str. 154a, 10997 Berlin, produktsicherheit[at]epubli[dot]com | Anbieter: preigu.

    • Lingua: Inglese

      Editore: Epubli Jun 2026, 2026

      3565488018 / 9783565488018

      • Brossura
      • Print on Demand

      Da: BuchWeltWeit Ludwig Meier e.K., Bergisch Gladbach, GermaniaBuchWeltWeit Ludwig Meier e.K.

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      EUR 23,00 spedizione 
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      Quantità: 2 disponibili

      Taschenbuch. Condizione: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -Investment decisions rarely fail because information is unavailable. They fail because judgment deteriorates under pressure. Rational investing depends on the ability to interpret financial signals without becoming consumed by fear, optimism, or market imitation. This book examines how investors build analytical stability in environments dominated by volatility and speculation.Using the foundations of value investing, the text explains how balance sheets, earnings structures, and pricing discrepancies reveal the underlying quality of a business. Readers learn why markets frequently overreact to temporary events and how disciplined investors recognize opportunities hidden beneath widespread uncertainty.The book also explores risk management beyond diversification slogans. It analyzes the structural relationship between valuation, timing, liquidity, and investor behavior. Instead of chasing momentum, readers are encouraged to understand how capital preservation supports long-term performance.Another central theme is emotional control. Short-term market narratives often reward impulsive reactions, yet durable investing depends on consistency, patience, and analytical restraint. The book explains how experienced investors reduce exposure to psychological distortions while maintaining strategic flexibility.Across European financial markets increasingly influenced by geopolitical shifts and unstable growth cycles, disciplined investment frameworks continue to provide a critical advantage for serious investors and decision-makers. 200 pp. Englisch.