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The Risk-Wise Investor
How to Better Understand and Manage Risk
Michael T. Carpenter (Author)
9780470478837, Wiley
Hardback, published 16 October 2009
272 pages, Tables: 4 B&W, 0 Color
23.8 x 16.3 x 2.4 cm, 0.467 kg
"Page by page, this reliable resource outlines the "Risk Wise" investment process, from properly identifying, understanding, and prioritizing risks to selecting risk reduction/management strategies and evaluating risk/reward tradeoffs — all the way to explaining how to develop and implement a personalized action plan." (Transitions magazine, November 2009). "Most investors get wise to risk only after the damage has been done. Savvy investors know that risk management is the whole game. Michael Carpenter's superb new book, The Risk-Wise Investor, could save you much heartache, not to mention many dollars." "Risk awareness, risk management, and risk control are the sine qua non of successful asset allocation and investment strategy. Michael Carpenter has done the global investment realm a HUGE service by bringing this essential discipline front and center. We've needed a book like this for a long time!" "Mike Carpenter's The Risk-Wise Investor can help any financial advisor do the most critical part of his or her job better—which is helping their clients not just understand, but master risk. My advice to advisors and investors: get hold of a copy. It's a no-risk way to improve your chances of investment success." "Arriving at the tail-end of a tumultuous decade for investors, The Risk-Wise Investor will help individuals regroup and reset their expectations using a simple, personalized approach to understanding and managing investment risk. Mike Carpenter's approach makes the often arcane world of risk management real and provides insights that are timely as well as timeless." "While risk cannot be totally eliminated, it can be prepared for and managed. With historical background, Mike Carpenter has simplified the process and modernized the approach."
—Don Phillips, Managing Director, Morningstar
—David M. Darst, Chief Investment Strategist, Morgan Stanley Smith Barney; author of The Little Book that Saves Your Assets
—Robert L. Reynolds, President and CEO, Putnam Investments
—Bill Glavin, Chief Executive Officer, OppenheimerFunds, Inc.
—John R. Kenney, Chairman and CEO, Clearwater Financial Marketing, LLC
User-friendly risk management tools, tips, and techniques for a less certain world Though a very high level of investor uncertainty, anxiety, and concern about risk now exists, the vast majority of investors do not genuinely understand investment risk-let alone how to effectively manage it. The Risk-Wise Investor offers a totally new, user-friendly, non-technical way to help you better understand and manage uncertainty and risk. This practical guide will help investors avoid many common pitfalls and make well informed, knowledge-based decisions when facing uncertainty and risk. It also shows how to implement a personalized, systematic risk management planning process that will allow you to manage the risks you face more effectively and improve the likelihood of achieving specific investment goals.
Though traditional investment advice is based on taking the long view and diversifying portfolios, the information here shows how to incorporate additional risk management considerations into your plans. The Risk-Wise Investor also provides innovative insights that will help investors and their advisors better understand how to:
Preface. Acknowledgments. CHAPTER 1 The Increasing Importance of “Risk-Wise” Investing. CHAPTER 2 Introduction to the “Risk-Wise” Risk Management Process. CHAPTER 3 The Evolving History of Risk and Risk Management. CHAPTER 4 “Risk”—What Is It, and How Does It Work? CHAPTER 5 Which “School” of Risk Management Is Best? CHAPTER 6 How Your Body Can Work Against You. CHAPTER 7 Understanding the Risk Perception/Reality Gap. CHAPTER 8 Avoiding Common Pitfalls of Decision Making Under Uncertainty. CHAPTER 9 The Advantages of Managing Risk Categories. CHAPTER 10 Understanding and Prioritizing Risks. CHAPTER 11 The “Risk-Wise” Risk Management Planning Process. CHAPTER 12 Models of Outstanding Risk Management. CHAPTER 13 The Value of Knowledgeable and Trusted Financial Advice. CHAPTER 14 Navigating Crisis Events and Bear Markets. Summary and Afterthoughts. Notes. Bibliography. Additional Information for Readers. About the Author. Index.
Subject Areas: Finance & accounting [KF]
