Intelligent Fund Investor

Regular price €31.99
Quantity:
In stock with our UK publisher. 14-28 days
Delivery/Collection within 10-20 working days
14 days return policy Shipping & Delivery
A01=Joe Wiggins
Age Group_Uncategorized
Age Group_Uncategorized
Author_Joe Wiggins
automatic-update
Category1=Non-Fiction
Category=KFFM
Category=VSB
COP=United Kingdom
Delivery_Delivery within 10-20 working days
eq_bestseller
eq_business-finance-law
eq_isMigrated=2
eq_nobargain
eq_non-fiction
eq_self-help
finance
financial freedom
investing
investments
investor
investor insights
Language_English
PA=Available
portfolio
Price_€20 to €50
PS=Active
saving
shares
smart investing
softlaunch
stock picking
stocks
trader insights
wealth
wealth management

Product details

  • ISBN 9780857198761
  • Weight: 302g
  • Dimensions: 138 x 216mm
  • Publication Date: 29 Nov 2022
  • Publisher: Harriman House Publishing
  • Publication City/Country: GB
  • Product Form: Paperback
  • Language: English
Secure checkout Fast Shipping Easy returns

Investing in funds is not straightforward. We are faced with a countless range of options and constantly distracted by meaningless noise and turbulent markets. To make matters worse, our flawed beliefs and behavioural biases lead to repeated and costly mistakes, such as a damaging obsession with past performance and a dangerous attraction to thematic funds.

There is a solution – a more intelligent way to invest in funds.

In The Intelligent Fund Investor, experienced portfolio manager and behavioural finance expert Joe Wiggins brings simplicity and clarity to fund investing. Each chapter of this fascinating and highly readable book focuses on a vital element of investing in funds – exploring how and why investors can get it badly wrong, and providing direct, actionable steps for better results.

Joe reveals: why we should avoid investing with star managers; how to decide between active and passive funds; why we should beware of smooth performance and captivating stories; why risk is far more than just volatility; the importance of a long time horizon; and much, much more.

Using a combination of stories, empirical evidence and experience, Joe gives all fund investors – active and passive – what they need to reassess their beliefs, understand their biases, and make better investment decisions.

Joe Wiggins has worked in the mutual fund industry since 2004; holding senior portfolio management and fund selection roles at some of the United Kingdom’s largest asset and wealth managers. He is the author of the successful investment blog: behaviouralinvestment.com. Its distinctive focus on investor behaviour and decision making has reached a worldwide audience. He is a specialist in behavioural finance and in 2017 completed a Master’s degree in Behavioural Science from the London School of Economics, for which he received the Brian Abel-Smith prize for outstanding performance.

More from this author