The 90% Solution: Higher Returns, Less Risk
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.
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The 90% Solution: Higher Returns, Less Risk
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.
29.95 In Stock
The 90% Solution: Higher Returns, Less Risk

The 90% Solution: Higher Returns, Less Risk

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

The 90% Solution: Higher Returns, Less Risk

by David L. Rogers

Hardcover

$29.95 
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Overview

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.

Product Details

ISBN-13: 9780471770817
Publisher: Wiley
Publication date: 10/06/2006
Pages: 256
Product dimensions: 6.38(w) x 9.00(h) x 1.07(d)

About the Author

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 also a Senior Financial Writer for CCG Investor Relations and Strategic Communications, Los Angeles. Mr. Rogers has nearly thirty years' experience in the investment industry and has held advisory, research, trading, and sales positions for regional and national firms. Rogers has become well known for his skill in establishing the probability of overall stock market direction and, since 1994, has specialized in portfolio construction using mid-, small-, and micro-cap companies, from both "value" and "growth" perspectives.

Table of Contents

Acknowledgments.

Introduction.

Act I Slaying the Dragons.

1 Lessons from Shakespeare's Bastard Son.

2 This Is Not Your Grandfather's Stock Market.

3 The Farce That Is "Buy and Hold".

Act II If Only You Could . . .

4 Simple, Simon Says.

5 Epiphany.

6 What If?

Act III My Approach to Market Timing.

7 A Timing Manifesto.

8 Silencing Statistical Noise.

9 Technical Timing Signals.

Act IV My Management Solutions.

10 My Mutual Fund Asset Allocation Solutions.

11 My Convergence Fund Solution.

Act V Other Approaches.

12 Broad Strokes.

13 Other Timing Approaches and Resources.

Afterword.

Index.

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