Guru Investor : How to Beat the Market Using History's Best Investment Strategies
Reese, John P.; Forehand, Jack M.
Language: English
Published by Wiley, 2009
- Hardcover
- Used

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- Title
- Guru Investor : How to Beat the Market Using History's Best Investment Strategies
- Author
- Reese, John P.; Forehand, Jack M.
- Publisher
- Wiley
- Publication year
- 2009
- Condition
- good
- Binding
- Hardcover
- Language
- English
- ISBN 10
- 0470377097
- ISBN 13
- 9780470377093
In an easy-to-read and simple format, this book will dissect the strategies of some of Wall Street's most successful investment gurus and teach readers how to weed through the all of the choices to find a strategy that works for them. The model portfolio system that author John Reese developed turns each strategy into an actionable system, addressing many of the common mistakes that doom individual investors to market underperformance. This book will focus on the principles behind the author's multi-guru approach, showing how investors can combine the proven strategies of these legendary "gurus" into a disciplined investing system that has significantly outperformed the market.
Gurus covered in the book are: Benjamin Graham; John Neff; David Dreman; Warren Buffett; Peter Lynch; Ken Fisher; Martin Zweig; James O'Shaughnessy; Joel Greenblatt; and Joseph Piotroski.
"Synopsis" may belong to another edition of this title.
About the Author
JOHN P. REESE, MBA, is the founder and CEO of Validea.com and Validea Capital Management. He is also portfolio manager for the Omega American and International Consensus mutual funds offered in the Canadian market. He is a regular columnist for Forbes.com, RealMoney.com, and Israel's Globes newspaper. He holds two patents in the area of automated stock analysis and is a graduate of Harvard Business School and the Massachusetts Institute of Technology.
JACK M. FOREHAND, CFA, is President of Validea.com and cofounder of Validea Capital Management, LLC. Working in conjunction with John Reese, Forehand led the development of Validea's investment models as well as the quantitative testing that led to the creation of Validea Capital Management's consensus portfolios. He graduated from the honors program of the University of Connecticut with a BA in economics and is a CFA charterholder.
"About the title" may belong to another edition of this title.
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