This text shows how to use modern portfolio theory to ensure long-term financial security. It contains high-return, low-risk strategies that Wall Street has known for years - but hasn't wanted to divulge. The book contains a step-by-step approach that analyzes one's financial needs.
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An easy-to-use investment program--with returns that beat most professionals! Praise for previous edition! "Timely and practical. This book brings the leading edge of investment information to the prudent investor in an understandable way, it's a book that should be on every investor's desk."--Charles R. Schwab, Chairman/CEO, Charles Schwab Corporation. "I once told John Bowen that to write a book like this on Modern Portfolio Theory and make it understandable would be a very difficult job. He went ahead and did it. Congratulations!"--Merton H. Miller, Nobel Laureate in Economics; Robert R. McCormick Distinguished Professor Emeritus of Finance, Graduate School of Business, University of Chicago. "Brings academic research and some of the more sophisticated strategies to Main Street. This book is full of practical tips and techniques for better investing. A real winner."--Rex Al Sinquefield, Co-Chariman and Chief Investment Officer Dimensional Fund Advisors, Inc. "Combines groundbreaking research with real-world applications for prudent investing. A great guide for financial decisions."--Kenneth R. French, NTU Professor of Finance, Sloan School of Management, Massachusetts Institute of Technology.
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