Outperforming the Market: Everyone's Guide to High-profit, Low-risk InvestingMcGraw-Hill, 1998 - 280 páginas Provides investment advice from the founder of Tanglewood Capital Management. The author evaluates several asset classes, including domestic stocks and bonds, international investments, and precious metals. He also looks at asset allocation policies, portfolio strategies, mutual funds, and his own "not-so-secret" key ingredient. Tables summarize the performance of various assets over time and provide other relevant information. Annotation copyrighted by Book News, Inc., Portland, OR |
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Página 13
Everyone's Guide to High-profit, Low-risk Investing John F. Merrill. was just a little over 6 % ! That was 1993's contribution to the financial quality of his retirement . The Hodge - Podge Portfolio Most investors acquire their ...
Everyone's Guide to High-profit, Low-risk Investing John F. Merrill. was just a little over 6 % ! That was 1993's contribution to the financial quality of his retirement . The Hodge - Podge Portfolio Most investors acquire their ...
Página 63
... investors for the full range of the declines they will likely incur over a lifetime of investing . A more useful measurement of risk is required to fulfill the mission of preparing investors for the declines in market value they face ...
... investors for the full range of the declines they will likely incur over a lifetime of investing . A more useful measurement of risk is required to fulfill the mission of preparing investors for the declines in market value they face ...
Página 260
... investors in that year ? Standard deviation also fails to prepare investors for the cumulative effect of back - to - back declines like 1973-1974 . Historical Risk / Reward charts are a better yardstick for illustrating the risk faced ...
... investors in that year ? Standard deviation also fails to prepare investors for the cumulative effect of back - to - back declines like 1973-1974 . Historical Risk / Reward charts are a better yardstick for illustrating the risk faced ...
Contenido
Introduction 12356 | 6 |
Overview | 23 |
Attractions and Drawbacks of Domestic Cash and Bonds | 43 |
Derechos de autor | |
Otras 18 secciones no mostradas
Términos y frases comunes
actively managed Annual Year Jan Apr May Jun asset allocation policy Aug Sep Oct AVERAGE ANNUAL REWARD Average Bear Market Bear Market Decline bull market Chapter CRSP Domestic Model Portfolios equity REITs evaluated Feb Mar Apr Full Market Cycles Global Growth High to High high-yield bonds Historical Risk/Reward Chart index funds international stocks investment investors Jan Feb Mar Jul Aug Sep Jun Jul Aug large cap stocks long-term returns Low to Low market value Mega Bear Market micro cap stocks Mid/Small Cap Stocks money manager Month Cyclical Declines mutual fund managers mutual funds Numbers outperformed P/E ratios performance period pre-decline level rate of return real returns Recovery to pre-decline retirement income Retirement Portfolio Riskless Return T-bills risks and rewards Standard & Poor's Standard Deviation stock market strategy target asset class Total Return U.S. dollar U.S. Treasury bills U.S. Treasury bonds underperformance Warren Buffett Wealth and Retirement Νου