Advertisement

Financial Markets and Portfolio Management

, Volume 21, Issue 4, pp 491–492 | Cite as

Pompian, M. (2006): Behavioral Finance and Wealth Management – How to Build Optimal Portfolios That Account for Investor Biases

John Wiley & Sons, Inc, 101 CHF, 318 pages
  • Alexander Ising
Book Review

Copyright information

© Swiss Society for Financial Market Research 2007

Authors and Affiliations

  1. 1.Swiss Institute of Banking and FinanceUniversity of St. GallenSt. GallenSwitzerland

Personalised recommendations