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Behavioral Portfolio: Managing Portfolios and Investor Behavior in a Complex Economy

Behavioral Portfolio: Managing Portfolios and Investor Behavior in a Complex Economy

No customer reviews yet ISBN 9780857197443 Harriman House

Investment advisors face two challenges. First, the portfolios that we offer clients leave investors vulnerable to severe economic events and emotional stress. Second, the way that we educate investors about their portfolios isn't effective at helping them curb biases.

The Behavioral Portfolio examines the risks of both stock and bond portfolios from historically comprehensive perspective to help illustrate that, based on market history, the current approach could lead to a break-down of clients' portfolios and our practices. It then lays out an all-seasons approach for investing that both embraces optimism and addresses contingencies of significant risk events.

Once portfolios are built according to these new parameters, portfolio communications ar shifted to pro-actively prepare investors for challenges ahead. Instead of following the crowd and shifting out of assets at unfavorable time, investors are trained to both understand the markets and to think counter-intuitively. Behavioral portfolios and communications allows investors to enjoy a higher probability of success and greater peace of mind throughout their investing lives.

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Product details

BrandHarriman House
Pub dateMar 25, 2025
ISBN-100857197444
ISBN-139780857197443
Hardcover272.0 pages
LanguageEnglish
Dimensions9.25 × 0.85 × 6.2 in
Weight1 lb
Last updated 2026-09-20 07:44
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