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基本信息
·出版社:Portfolio Hardcover
·页码:272 页码
·出版日:2006年
·ISBN:9781591841081
·条码:9781591841081
·装帧:精装
·开本:20开 20开
内容简介
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A unique and timely new wealth-building strategy from a legendary investment guru
In his national bestsellersHow to Retire RichandWhat Works on Wall Street, portfolio manager extraordinaire James P. OShaughnessy offered investors practical advice based on rigorous quantitative analysisadvice that has consistently beaten the market.But in a recent analysis of market data, OShaughnessy uncovered some astonishing trends not discussed in his previous books.The Markets of Tomorrowexplains OShaughnessys new research and tells ordinary investors what they must do now to revamp their portfolios.According to OShaughnessy, the year 2000 marked the end of a twenty-year cycle that was dominated by the stocks of larger, fastergrowing companies like those in the S&P 500. In the new cycle, the stocks of small and midsize companies are the ones that will outperform the market, along with large company value stocks and intermediate term bonds. OShaughnessy describes the number crunching behind his analysis and then shows individual investors exactly how to select the right mix of investments and pick top-performing small and midcap stocks.The Markets of Tomorrowis a loud and clear call to action for every investor who doesnt want to be left behind.
Praise for James P. OShaughnessy:
What investment strategies have worked over the past forty years? Ask this man.
Barrons
You ignore his message at the risk of your own future wealth. His trailblazing research suggests new ways to invest.
Kiplingers Personal Finance Magazine
作者简介
James P. OShaughnessyis senior managing director at Bear Stearns and the director of systematic equity for Bear Stearns Asset Management. He manages five mutual funds and separately managed portfolios for individuals and institutions. The author ofHow to Retire RichandWhat Works on Wall Street, he has been profiled and interviewed widely in the media.
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书评
From Publishers Weekly
A Bear Stearns executive and bestselling financial adviser, O'Shaughnessy (How to Retire Rich) is a self-described "passionate advocate" of paying attention to the stock market's historical trends rather than impulsively reacting to short-term fluctuations. Though the technology bubble of the '90s led many to believe the financial rules had changed, O'Shaughnessy still believes that the soundest investment lies not in chasing the fastest-growing big stocks, but in careful management of holdings in small and midsize companies, with large companies selected for value rather than expansion. Buttressed by an array of financial charts, he discusses how to create a set of investment portfolios—some with as many as 25 separate stocks—that with annual tinkering will yield effective results over a two-decade period. His advice tends toward technical precision; when discussing intermediate bonds, for example, he recommends a laddered portfolio that continually frees up assets for potential reinvestment in the event of changing interest rates. Although he speaks briefly to the emotional reasons why most investors are unable to resist the allure of short-term gains, O'Shaughnessy is primarily concerned with the cold, hard facts that will trump sentiment, and he lays out his positions in a straightforward and effective manner.(Mar. 2.)
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