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"The proven, all-weather investing strategy that delivers long-term, consistent returns. The most common investing approach today--one that values "growth" over all else-- can be ineffective and counterproductive for many investors, not to mention needlessly stressful. Now, one of Seeking Alpha's most popular writers, Steven Bavaria, provides a groundbreaking alternative that will see you through all markets--up, down, and sideways. The Income Factory...
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Investing is simple, but never easy. We carry a lot of investment baggage, including hot tips from friends and the financial media, as well as complicated financial recommendations from Wall Street "experts." Yet the biggest obstacle we face is the tendency to outsmart ourselves. In order to overcome this obstacle, you need to follow straightforward strategies that will consistently push your portfolio ahead of the pack by an additional 3 to 4 percent...
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In 1988 Geraldine Weiss wrote the classic Dividends Don't Lie, which focuses on the Dividend Yield Theory as a method of producing consistent gains in the stock market. After the market crash of the late 1980's, the book was a large success. Investors were looking for safety and transparency, and dividends offered the yields investors desired. Despite the advent of new technologies and the ability of investors to access information on an unprecedented...
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"The looming issue of automation is one of the more commonly discussed problems facing the American economy -- but it is not the only one. Big business has done much to accrue wealth for itself, while leaving the people behind. Our education system is inherently unequal, breaking along race and class lines. Hostile immigration policies keep would-be workers of today and tomorrow away. In Common Sense, Thomas Paine wrote: "a long habit of not thinking...
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This course is a very hands-on companion to Peter Navarro's two books on investing. In the best-selling If It's Raining in Brazil, Buy Starbucks, he introduced the revolutionary concept of Big Picture Investing as a way to not only profit-but also protect your portfolio from heavy losses. Since the publication of that book, he has received countless requests to illustrate, in a very detailed way, just how to apply Big Picture Investing to the day-to-day...
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The Indomitable Investor deconstructs the stock market as the public has come to know it and reconstitutes it from the inside out from the perspective of the fortunate few who dominate Wall Street. By revealing how top investors and traders think and act Steven Sears shows the stock market to be an undulating ocean of money, with seasoned investors reading the waves others cannot. Teaching readers to think about the market in radically different ways,...
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"With deep insights about investor psychology, Book of Value shows how to apply tools of business analysis to sort through the deceptions and self-deceptions in financial markets. Anurag Sharma joins philosophy with practical know-how to launch an integrated approach to building high-performance stock portfolios. Investors at all skill levels should learn to be mindful of their psychological biases so they may better frame investment choices. Book...
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The book will feature interviews with 12 successful individual traders. None of the traders are professionals, but all are highly profitable and are examples of how individuals can succeed in the financial markets. The book will be divided into four sections: stocks, futures, options, and foreign exchange. Each section will begin with a description about the unique characteristics of the particular market and will include interviews with three traders....
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The Completely Revised and Expanded Edition of the New York Times Bestseller That Focuses on Personal Finance for Every Budget -- and Every Stage of Life Taking control of your personal finances is the first -- and most important -- step toward successful investing and a secure future. The Motley Fool You Have More Than You Think, now fully updated and expanded, provides guidance for anyone trying to balance lifestyle aspirations and financial realities....
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7Twelve represents the 7 major asset classes and 12 subgroups that truly count in a well-diversified portfolio. Over the last 10 years, the numbers generated by 7Twelve are nothing less than stellar-and you can do similarly using major mutual fund companies and ETFs by spending a fraction of time each month or each quarter to rebalance. 7Twelve founder, Prof. Craig Israelsen, shows just how easy it is to manage a successful portfolio with a plan,...
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"Get up to speed on the latest investing strategies, techniques, and products--and raise your game to a whole new level The financial services industry has undergone a major transformation over the last decade, including increased concerns from investors, the growth of the independent model, the growth of Robo-advisors, product evolution, increased market correlations--in addition to geopolitical risks, population growth, technological advances, and...
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"Investors who seek high returns tend to gravitate towards equities. However, this asset class is susceptible to large and frequent losses. Risk parity is a completely different approach to investing. Rather than concentrating in equities, investors pursue a more consistent return by embracing the power of diversification. The RPAR Risk Parity ETF (ticker: RPAR) is the fullest expression of this investment philosophy. By including additional asset...
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A groundbreaking framework for improving portfolio performance that goes beyond traditional analytics, offering new ways to understand investment skills, process, and behaviors.
Portfolio management is a tough business. Each day, managers face the challenges of an ever-changing and unforgiving market, where strategies and processes that worked yesterday may not work today, or tomorrow. The usual advice for improving portfolio performance—refining
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Investors are in a jam. A troubled global economy, unpredictable markets, and a bewildering array of choices create a dangerous landscape. To meet this challenge, most of us rely on professionals to take risk on our behalf. Here, analyst and investor Brian Portnoy delivers a powerful framework for choosing the right money managers and investment vehicles--and avoiding the losers. Portnoy reveals that the right answers are found by confronting our...
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"Buying and selling life-supporting assets at a dizzying pace, the crux of the asset manager business model is not long-term investment and careful custodianship but the pursuit of quick profits for themselves and their investors. In asset manager society, the natural and built environments that sustain us become one more vehicle for siphoning money from the many to the few"--
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"A playbook for long-term value creation. Balancing the short term and the long term is a perennial struggle, but new developments put boards squarely at the center of this dilemma and in need of guidance. Much of the $14 trillion of assets that firms like Vanguard, BlackRock, and State Street manage is now held in index funds, creating a huge class of permanent institutional investors. These so-called passive investors (unlike activist investors,...
80) Debunkery: learn it, do it, and profit from it--seeing through Wall Street's money-killing myths
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"Money manager Ken Fisher highlights the most common money mistakes people make and reveals how to avoid them In Debunkery: Learn It, Do It, and Profit from it Seeing Through Wall Streets Money-Killing Myths, legendary money manager Ken Fisher outlines the most common-and costly-mistakes made by individuals who think they are doing the right thing. In several short, accessible chapters, this book discusses each myth/mistake, proves why it's actually...
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