Abstract
This timely book explores investment risk and return as fundamental concepts that underpin financial decision-making and portfolio management. With contributions from scholars and practitioners, it combines conceptual frameworks with real-world applications, providing insights into the biases of irrational investors and how value is assessed in past performance and future projections.
| Original language | English (US) |
|---|---|
| Publisher | Edward Elgar Publishing Ltd. |
| Number of pages | 294 |
| ISBN (Electronic) | 9781035339723 |
| ISBN (Print) | 9781035339716 |
| DOIs | |
| State | Published - Jan 1 2025 |
All Science Journal Classification (ASJC) codes
- General Economics, Econometrics and Finance
- General Business, Management and Accounting
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