Pompian, M. M. (2012). Behavioral finance and wealth management: How to build investment strategies that account for investor biases (2nd ed.). Wiley.
Чикаго-гийн эшлэл (17 дахь хэвлэлт)Pompian, Michael M. Behavioral Finance and Wealth Management: How to Build Investment Strategies That Account for Investor Biases. 2nd ed. Hoboken, N.J.: Wiley, 2012.
MLA -ийн эшлэл (9 дэх хэвлэлт)Pompian, Michael M. Behavioral Finance and Wealth Management: How to Build Investment Strategies That Account for Investor Biases. 2nd ed. Wiley, 2012.
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