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The 90% Solution: Higher Returns, Less Risk - Hardcover

 
9780471770817: The 90% Solution: Higher Returns, Less Risk
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Book by Rogers David L

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Reseña del editor:
The 90% Solution is about understanding the most important factors impacting today's stock market, how they influence performance--and how they can be used to produce higher returns. In it, author David Rogers challenges traditional investment strategies, then points the way to new and alternative investment methods that can help you rise above the "expectations for mediocrity" that seem to dominate conventional investment thinking.
Contraportada:
Discover how to achieve superior investment performance

"I enjoyed this book on several levels. First: I appreciated the factual information about stock market behavior and the increasingly sophisticated packaged products being offered to mitigate market risk. Second: I was reminded how little I know about market timing and how it can help lower the risk exposure of any portfolio. Third, and most interesting of all: I really enjoyed the personal side of David Rogers's career."
?Binkley Shorts, Equity Portfolio Manager Wellington Management Co.

"I have followed David Rogers's market forecasting for many years. He is very good (not many really are). David's book, The 90% Solution is enjoyable and educational. I found the historical reviews particularly interesting and I agree with David's most important theme regarding the importance of market timing wholeheartedly. In an age where hedge funds and brokerage trading desks control over half of total market value, the adage 'timing is everything' is critically important to investors as well as traders."
?Otis T. Bradley, Managing Director of Research, Gilford Securities

"David is a very thorough and dedicated analyst, and everyone, both novice and professional, could learn something from reading this book. No one has all the answers when it comes to successful investing, however David's approach can help even the most remedial investor secure better-than-average returns in his or her portfolio. I highly recommend you read each page with care."
?Jack Norberg, Chairman, Standard Investment Chartered, Inc., and General Partner, Buttonwood Tree Value Partners

"This book demystifies the hocus-pocus and debunks the bad rap that market timing has attracted. Time will show why David Rogers is one of the unheralded investment gurus of our day."
?Craig Pieringer, Portfolio Manager, Wells Capital Management

"David Rogers breaks through the cobweb-clichés about 'buying and holding,' spun for years by most stock brokers and mutual fund salesmen. It is high time that market timing be revisited and its best techniques be shared with the investing public. Rogers is to be commended for spotlighting this timely need."
?William Schmidt, PhD, President, Tiger Software

"This book has to be on the reading list of every serious investor. David Rogers tells us why and how using the overall stock market's direction is the best way to improve portfolio performance. He knows what he is talking about because his performance ranks among the best in the world of active money management."
?Roger J. Schreiner, CEO, Schreiner Capital Management

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  • VerlagJohn Wiley & Sons
  • Erscheinungsdatum2006
  • ISBN 10 0471770817
  • ISBN 13 9780471770817
  • EinbandTapa dura
  • Anzahl der Seiten258

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David Rogers
ISBN 10: 0471770817 ISBN 13: 9780471770817
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Buchbeschreibung hardback. Zustand: New. Language: ENG. Artikel-Nr. 9780471770817

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Verlag: John Wiley & Sons (2006)
ISBN 10: 0471770817 ISBN 13: 9780471770817
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Buchbeschreibung Zustand: New. DAVID ROGERS is founder and Chief Investment Officer of Watauga Equity Management, a registered investment advisory firm in Blowing Rock, North Carolina, that specializes in active asset allocation strategies using indexed and leveraged mutual funds. He is . Artikel-Nr. 446918102

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