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The Thinking Investor's Guide to the Stock Market | Kiril Sokoloff
The Thinking Investor's Guide to the Stock Market | Kiril Sokoloff
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The Thinking Investor's Guide to the Stock Market
Accolades & Praise
- Global Phenomenon: Translated into 12 languages and having sold over 1 million copies worldwide.
- Critical Acclaim: Praised by industry experts and readers alike for its clarity, conciseness, and highly actionable practicality.
Extended Synopsis
The Thinking Investor's Guide to the Stock Market provides a foundational framework for mastering investment psychology and navigating the unpredictable behavior of financial markets. Author Kiril Sokoloff argues that the absolute key to successful investing is developing a sound, personalized investment philosophy and maintaining the discipline to stick to it through market volatility.
Written in a clear and concise style, this guide emphasizes the critical importance of understanding your own risk tolerance and aligning it with realistic investment goals. Sokoloff takes readers through a comprehensive overview of investment principles, analysis techniques, and market dynamics, offering actionable strategies to evaluate different types of investments carefully before committing capital.
Chock-full of practical insights and real-world case studies, this book explores the mindset of successful investors. By teaching readers how to manage emotional biases, apply rigorous safeguards, and stay informed on market trends, Sokoloff provides the essential tools required to achieve long-term success and make informed, independent decisions in fluctuating markets.
About the Author
Kiril Sokoloff is a highly respected figure in the financial industry, recognized for his deep expertise, successful investment track record, and profound understanding of global market dynamics. His work is dedicated to educating investors on maintaining independence of thought and strategic discipline in their financial endeavors.
Reader Targeting
- Novice investors seeking a clear, foundational understanding of the stock market.
- Experienced traders looking to refine their investment philosophy and manage emotional biases.
- Finance enthusiasts interested in historical market dynamics and strategic capital allocation.
Bibliographic & Physical Specifications
| Specification | Details |
|---|---|
| ISBN-13 | 9780070596153 |
| ISBN-10 | 0070596158 |
| Publisher | McGraw-Hill |
| Publication Date | January 1, 1978 |
| Edition | First Edition |
| Format | Hardcover (Hardbound, Dust Jacket Included, Used Condition) |
| Page Count | 234 |
| BISAC Categories | BUSINESS & ECONOMICS / Investments & Securities / General; BUSINESS & ECONOMICS / Finance / General |
| Dimensions & Weight | 9.0 x 6.0 x 1.0 inches / 19.3 oz |
Frequently Asked Questions
What is the core message of the book?
The primary argument is that the absolute key to successful investing is establishing a sound, personal investment philosophy and sticking to it despite market volatility.
Is this book appropriate for beginners?
Yes, the book is written in a clear and concise style, making it accessible for novice investors while still providing immense value for experienced traders.
Does the book cover different types of investments?
Yes, it discusses various investment vehicles and provides analytical tools to help readers evaluate them according to their individual risk tolerance.
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