Nouveauté
The Stoic Investor
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Disponible dans votre compte client Decitre ou Furet du Nord dès validation de votre commande. Le format ePub est :
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- FormatePub
- ISBN8235107304
- EAN9798235107304
- Date de parution15/07/2026
- Protection num.pas de protection
- Infos supplémentairesepub
- ÉditeurIoakim Ioakim
Résumé
The market does not only test your knowledge. It tests your character. You can learn how to read financial statements, value businesses, and identify great companies, and still lose money because of fear, greed, impatience, overconfidence, or the need to follow the crowd. The Stoic Investor is built on a simple principle: to become a better investor, you must understand two things: the asset you own and the person who owns it.
Blending the timeless wisdom of Stoic philosophy with the practical principles of long-term investing, this book teaches you how to think clearly, analyse businesses, estimate value, manage risk, and remain rational when markets become irrational. Inside, you will learn how to: Analyse a business before buying its stock Understand financial statements and the numbers that matter Distinguish price from value Value stocks without pretending the future is certain Build a margin of safety into your decisions Manage risk and protect yourself from permanent loss Think in decades rather than headlines Recognize the psychological biases that sabotage investors Control fear, greed, FOMO, panic, and overconfidence Build a disciplined investment process you can follow through changing markets This is not a book about getting rich quickly, predicting the next market crash, or chasing the hottest stock.
It is a book about becoming the kind of investor who can think independently, act rationally, survive uncertainty, and allow time and compounding to do their work. Because in investing, your greatest advantage may not be knowing more than everyone else. It may be having the discipline to behave better. Master Yourself. Master Your Money.
Blending the timeless wisdom of Stoic philosophy with the practical principles of long-term investing, this book teaches you how to think clearly, analyse businesses, estimate value, manage risk, and remain rational when markets become irrational. Inside, you will learn how to: Analyse a business before buying its stock Understand financial statements and the numbers that matter Distinguish price from value Value stocks without pretending the future is certain Build a margin of safety into your decisions Manage risk and protect yourself from permanent loss Think in decades rather than headlines Recognize the psychological biases that sabotage investors Control fear, greed, FOMO, panic, and overconfidence Build a disciplined investment process you can follow through changing markets This is not a book about getting rich quickly, predicting the next market crash, or chasing the hottest stock.
It is a book about becoming the kind of investor who can think independently, act rationally, survive uncertainty, and allow time and compounding to do their work. Because in investing, your greatest advantage may not be knowing more than everyone else. It may be having the discipline to behave better. Master Yourself. Master Your Money.



