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High Returns From Low Risk


High Returns From Low Risk
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High Returns From Low Risk


High Returns From Low Risk
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Author : Pim van Vliet
language : en
Publisher: John Wiley & Sons
Release Date : 2017-01-17

High Returns From Low Risk written by Pim van Vliet and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2017-01-17 with Business & Economics categories.


HIGH RETURNS from LOW RISK If you lie awake at night worrying about your retirement, paying for your children’s schooling or your general financial security, High Returns from Low Risk is your solution to a sound sleep. This unique wealth management guide is written by a fund manager who oversees billions of dollars in portfolio assets, and who wants to share his approach with individual investors, advisors, bankers and everyone interested in the stock market. Despite all the appeal exciting stocks have, his evidence-based strategy repeatedly proves low-risk stocks historically beat high-risk ones going back well over eighty years. By how much? Over eighteen times the returns! Growing wealth doesn’t have to be stressful, and it shouldn’t be risky when you get High Returns from Low Risk. ‘The low-risk effect, that is the idea that historically, unlike many well-known theories, average return across stocks doesn’t appear to go up with most standard measures of risk, is one of the most important “anomalies” in modern finance. Pim van Vliet is one of the pioneers in studying this effect and using it to improve investor portfolios. Anyone interested in systematic equity investing should carefully read this important book.’ — Clifford S. Asness, Founder, Managing Principal and Chief Investment Officer at AQR Capital Management, USA ‘Pim van Vliet’s experience as one of the pioneers of low-volatility investing gives him unique insight into one of the most fascinating economic anomalies of our time. The idea that risk, properly defined, generates a positive return, is one of those ideas that becomes even more profound when we learn it is not true. There is no cosmic risk karma that pays people for taking risk, and this book will help people understand what types of investment risks generate premiums, and which will actually cost you money.’ —Eric Falkenstein, Author of The Missing Risk Premium: Why Low Volatility Investing Works, USA



Fixed Coupon Note High Returns And Low Risk


Fixed Coupon Note High Returns And Low Risk
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Author : Rajiv Aggarwal
language : en
Publisher: World Scientific
Release Date : 2020-11-13

Fixed Coupon Note High Returns And Low Risk written by Rajiv Aggarwal and has been published by World Scientific this book supported file pdf, txt, epub, kindle and other format this book has been release on 2020-11-13 with Business & Economics categories.


Equities are generally perceived to be more volatile than fixed income investments. Many risk averse investors are unable to digest the daily ups and downs in the prices of equities. They also feel that, from a historical perspective, equities are overpriced and thus are not comfortable taking equity positions at current valuations.On the other hand, global interest rates have been on a decline from the 1970s when inflation was finally under control by central banks. This decline in interest rates means that investors have to live with lower nominal returns. Since the Global Financial Crisis of 2008, many investors have been feeling left out of the equity markets.Fixed Coupon Notes (FCNs) are quasi-equity and quasi-bond structures which aim to provide higher returns than bonds with lower risks compared to equities. Moreover, they also provide an avenue to enter equities at reasonable prices and acceptable valuations. Being the most popular structured product in Asia, there is sufficient institutional experience about the product. This book aims to provide the basics as well as the nuances of investing in FCNs so that an investor not only understands the concepts behind the product, but is also able to avoid common pitfalls.



The Dhandho Investor


The Dhandho Investor
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Author : Mohnish Pabrai
language : en
Publisher: John Wiley & Sons
Release Date : 2011-01-06

The Dhandho Investor written by Mohnish Pabrai and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2011-01-06 with Business & Economics categories.


A comprehensive value investing framework for the individual investor In a straightforward and accessible manner, The Dhandho Investor lays out the powerful framework of value investing. Written with the intelligent individual investor in mind, this comprehensive guide distills the Dhandho capital allocation framework of the business savvy Patels from India and presents how they can be applied successfully to the stock market. The Dhandho method expands on the groundbreaking principles of value investing expounded by Benjamin Graham, Warren Buffett, and Charlie Munger. Readers will be introduced to important value investing concepts such as "Heads, I win! Tails, I don't lose that much!," "Few Bets, Big Bets, Infrequent Bets," Abhimanyu's dilemma, and a detailed treatise on using the Kelly Formula to invest in undervalued stocks. Using a light, entertaining style, Pabrai lays out the Dhandho framework in an easy-to-use format. Any investor who adopts the framework is bound to improve on results and soundly beat the markets and most professionals.



Invest Like A Guru


Invest Like A Guru
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Author : Charlie Tian
language : en
Publisher: John Wiley & Sons
Release Date : 2017-04-24

Invest Like A Guru written by Charlie Tian and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2017-04-24 with Business & Economics categories.


Adopt the investment strategy that built Warren Buffett's fortune Invest Like a Guru provides an invaluable resource for high-quality-focused value investing, with expert insight and practical tools for implementation. Written by the man behind GuruFocus.com, this book expands on the site's value strategies and research tools to provide a primer for those exploring pathways to higher returns at lower risk. The book begins with an insightful explanation of high-quality-focused value investing concepts, then quickly moves into practical, detailed guidance on analysis, valuation, key factors, and risks to avoid. Case studies demonstrate real-world application of various analysis methods, and the discussion walks you through important calculations using real examples. Author Charlie Tian draws upon his own experiences and lessons learned to provide true insight on high-quality-focused value investing as a strategy, providing both reference and expert advice in this singularly useful guide. Warren Buffett once said, "I would rather buy good companies at fair prices than buy fair companies at good prices." That's how he built his fortune, and his method is what we now call high-quality-focused value investing. This book shows you how to determine what constitutes "good companies" and "fair prices," with practical tools for real-world application. Learn the principles and concepts of high-quality-focused value investing Understand the analysis process and valuation of prospective investments Avoid the value traps that can trigger permanent losses Study clear examples of key ratios and calculations We can't all become the next Warren Buffett, but we can boost returns while reducing risk using the right investment strategy. High-quality-focused value investing provides a path to profit, and Invest Like a Guru is the one-of-a-kind guidebook for getting on track.



Outperforming The Market


Outperforming The Market
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Author : John F. Merrill
language : en
Publisher: McGraw-Hill Companies
Release Date : 1998

Outperforming The Market written by John F. Merrill and has been published by McGraw-Hill Companies this book supported file pdf, txt, epub, kindle and other format this book has been release on 1998 with Business & Economics categories.


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



Dual Momentum Investing An Innovative Strategy For Higher Returns With Lower Risk


Dual Momentum Investing An Innovative Strategy For Higher Returns With Lower Risk
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Author : Gary Antonacci
language : en
Publisher: McGraw-Hill Education
Release Date : 2014-10-31

Dual Momentum Investing An Innovative Strategy For Higher Returns With Lower Risk written by Gary Antonacci and has been published by McGraw-Hill Education this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-10-31 with Business & Economics categories.


The strategy that consistently gets high returns with low risk--because it knows when to adapt After examining more than two hundred years of data across dozens of markets and asset classes, the conclusion is clear: Momentum continually outperforms. However, most mainstream investors haven't had a way to fully discover and implement the benefits of momentum investing . . . until now! Whether you're an independent investor, investment professional, or money manager, Dual Momentum Investing enables you to consistently profit on major changes in relative strength and market trend. Based on the award-winning work of Gary Antonacci, an expert in modern portfolio theory and optimization, this groundbreaking guide presents an easy-to-understand, straightforward model that transforms momentum concepts into an actionable investing strategy called Global Equity Momentum (GEM). By combining relative-strength momentum and absolute momentum, this proven methodology lets you take advantage of intramarket trends while avoiding large drawdowns. A disciplined implementation of his proven strategy enhances the ability of every trader to: Lock in profi ts and mitigate risk with a minimal number of switches per year among US equities, non-US equities, and bonds Establish meaningful control over investment risk once an asset's value begins to decline Remove emotional and behavioral biases from your decision making while taking advantage of these same biases in other traders to achieve exceptional returns Each facet of GEM is explained with simple clarity using the perfect amount of supporting theory, historical analysis, and understandable data. Pragmatic techniques come to life with real-world relevance that both deepens your understanding of why dual momentum trading works and better prepares you for using it with your own investments. From picking a cost-effective brokerage firm, to making asset choices, to customizing your strategy as you near retirement--this reliable guide helps you do it all with the confidence you'll gain through repeated success. You put a lot into earning your wealth; now take the next step with Dual Momentum Investing and properly protect it while it's working for you. PRAISE FOR DUAL MOMENTUM INVESTING: "Gary Antonacci takes us on a comprehensive tour of investment methods, exploring their strengths and weaknesses, and lays out a strong case for combining absolute and relative momenta. I consider Dual Momentum Investing as an essential reference for system designers, money managers, and investors." -- ED SEYKOTA "Gary Antonacci's Dual Momentum Investing is what happens when Ed Thorpe's Beat the Dealer meets Seth Klarman's Margin of Safety. This is an ambitious and must-have book." -- CLAUDE ERB, retired Managing Director, TCW Group, Inc. "Antonacci presents a clear and scholarly sound case for the success of a simple momentum-based strategy. Give it a try; you'll be hooked!" -- JOHN NOFSINGER, PhD, Seward Chair of Finance, University of Alaska Anchorage, and author of The Psychology of Investing "A treasure of well-researched, momentum-driven investing processes. Antonacci clearly shows a number of different methods that anyone who is serious about a long-term strategy will find easy to implement. This is one of those five-star books; it is logical and easy to grasp." -- GREGORY L. MORRIS, Chief Technical Analyst and Investment Committee Chairman, Stadion Money Management, LLC, and author of Investing with the Trend "A must-read for both individual investors as well as financial advisors. It will forever change the way you think about developing investment and asset allocation strategies." -- DR. BOB FROEHLICH, retired Vice Chairman, Deutsche Asset Management



The Missing Risk Premium


The Missing Risk Premium
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Author : Eric G. Falkenstein
language : en
Publisher: Createspace Independent Publishing Platform
Release Date : 2012-08-16

The Missing Risk Premium written by Eric G. Falkenstein and has been published by Createspace Independent Publishing Platform this book supported file pdf, txt, epub, kindle and other format this book has been release on 2012-08-16 with Finance categories.


Risk is the deviation from the consensus rather than an exposure to a covariance, and this implies there is no risk premium in general. It also implies that when there are a large number of people buying highly volatile assets, such assets will have negative returns in equilibrium. As there are several independent motivations for people to buy highly volatile assets, intuitively risky assets generally have lower-than-average returns. This novel conception of risk implies many things more consistent with the data than the current theory. Risk taking is an important life skill, so understanding its nature is important, and unfortunately academics who study it full-time are like so many other experts: when not irrelevant, 180 degrees wrong. This book explains the current asset pricing theory, and proposes an alternative, using theory and a unique survey of the data across many asset classes. Familiarity with some MBA level finance is helpful but not necessary to appreciate this book.



What Investors Really Want Know What Drives Investor Behavior And Make Smarter Financial Decisions


What Investors Really Want Know What Drives Investor Behavior And Make Smarter Financial Decisions
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Author : Meir Statman
language : en
Publisher: McGraw Hill Professional
Release Date : 2010-11-19

What Investors Really Want Know What Drives Investor Behavior And Make Smarter Financial Decisions written by Meir Statman and has been published by McGraw Hill Professional this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010-11-19 with Business & Economics categories.


A pioneer in the field of behavioral finance presents an investment guide based on what really drives investors Perfectly timed to give readers a real edge for investing in post-crash markets Author is a leading authority on the theory and application of behavioral finance and a fixture in The Wall Street Journal and other leading media outlets Poised to become the definitive text on how investors and managers make financial decisions—and how these decisions are reflected in financial markets



Payback Time


Payback Time
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Author : Phil Town
language : en
Publisher: Random House
Release Date : 2010

Payback Time written by Phil Town and has been published by Random House this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010 with Business & Economics categories.


Millions of people have done everything recommended by professional financial advisors only to see their retirement funds dwindle or even disappear entirely in the global financial crisis. Does anyone really still believe that methods such as 'buy and hold' investing will protect them from risk? In Payback Time, Phil Town - author of New York Times bestseller Rule #1 - demonstrates the investment tactics that will enable you to ensure a safe and profitable financial future for yourself. Calling on time-proven strategies used by the world's best investors, he shows how you can reverse your nest egg's downward direction by purchasing the stock of solid companies at windfall prices - prices that can only head in one direction- up! This simple method will help you to achieve 15% or better annual returns, with the least amount of risk. The time has never been better for making money in the stock market - if you know how.



Wealth Secrets Unveiled Build Your Fortune With Low Risk Investments


Wealth Secrets Unveiled Build Your Fortune With Low Risk Investments
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Author : Philipp Hornickel
language : en
Publisher: Philipp Hornickel
Release Date : 2024-09-30

Wealth Secrets Unveiled Build Your Fortune With Low Risk Investments written by Philipp Hornickel and has been published by Philipp Hornickel this book supported file pdf, txt, epub, kindle and other format this book has been release on 2024-09-30 with Business & Economics categories.


🚀 Unlock Your Financial Freedom Today! 🚀 Are you tired of living paycheck to paycheck? Do you dream of building a secure financial future but feel overwhelmed by investment choices? Look no further! Wealth Secrets Unveiled: Build Your Fortune with Low-Risk Investments is your ultimate guide to achieving financial success without the stress! 💰✨ In this groundbreaking book, you’ll discover: Master the Basics: Understand the critical relationship between risk and reward, and learn how to assess your own risk tolerance. 📊 Build a Strong Foundation: Establish your emergency fund, reduce debt, and create a sustainable cash flow that sets you up for long-term success. 💪 Smart Investment Strategies: Explore low-risk investment vehicles like bonds, index funds, and dividend stocks. Learn how to diversify your portfolio and let the power of compound interest work for you! 📈 Long-Term Stability: Implement strategies like dollar-cost averaging and periodic portfolio rebalancing to weather market volatility. Discover why patience is your greatest asset! ⏳ Navigate Market Downturns: Stay calm during economic turmoil with proven risk management techniques. Learn from historical market recoveries to ensure you're always prepared! 🌧️➡️🌈 Leverage Tax Efficiency: Maximize your returns with tax-advantaged accounts and smart strategies to minimize your capital gains tax! 🏦 Avoid Common Pitfalls: Identify emotional investing traps, steer clear of scams, and resist the temptation to chase fleeting trends. 🚫💸 Build a Sustainable Portfolio: Create a portfolio aligned with your financial goals, and use automation tools to simplify your investment management process. ⚙️ Secure Your Future: Plan for retirement, leave a lasting legacy for future generations, and protect your hard-earned assets through effective estate planning. 🏠📜 Don’t just dream of wealth—take action! This book isn’t just filled with theory; it’s packed with practical, actionable steps that anyone can implement to start building wealth today! Whether you’re a complete beginner or looking to refine your investment strategy, Wealth Secrets Unveiled is your roadmap to financial independence. 🌟 Why wait? Transform your financial future now! Click "Buy Now" and embark on your journey to wealth and prosperity! 🔑💸 P.S. Your financial education is your most powerful tool! The more you know, the more control you have over your financial destiny. Let this book be your guide! 📚✨