Safety Net: The Strategy for De-Risking Your Investments in a Time of Turbulence

Safety Net: The Strategy for De-Risking Your Investments in a Time of Turbulence

by James K. Glassman
Safety Net: The Strategy for De-Risking Your Investments in a Time of Turbulence

Safety Net: The Strategy for De-Risking Your Investments in a Time of Turbulence

by James K. Glassman

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Overview

How can you construct a financial investment strategy to protect yourself … yet still get the growth to ensure a solid financial future and comfortable retirement during these turbulent times?
 
By building an investing safety net that gives you the gains needed for growth – though more modest than those of past years – but protection against the downside.  So when turbulence strikes again – and it will – you won’t re-live the financial nightmares of recent years when portfolios and 401Ks were devastated.
 
Jim Glassman provides the specifics you need for shrewd asset allocation, specifically:
 
  • Reduce stock ownership. For those stocks you do own, ensure they meet one of these criteria: pay dividends; are low-priced and from industries of the future; or companies based in aspiring nations such as India, Brazil and China.
  • Make a substantial investment in bonds, especially US Treasury TIPS bonds and corporate bonds
  • Hedge against decline by owning a bear fund that shorts the US economy.
  • Own funds based on other currencies, thus protecting yourself against the potential declining value of the US dollar.
  • And consider derivatives. Yes, derivatives!
 
Specific stock, bond and fund recommendations and ample portfolios then provide the starter ideas for properly balancing a portfolio.
 
And the 5 principles and 18 specific rules of “the new rule book” help keep “animal spirits” in check when fads and news flashes provide the temptation to make rash investing decisions that will be quickly regretted.

Product Details

ISBN-13: 9780307591272
Publisher: Crown Publishing Group
Publication date: 02/22/2011
Sold by: Random House
Format: eBook
Pages: 208
File size: 2 MB

About the Author

JAMES K. GLASSMAN has been writing about investing and the economy since the mid-1970s. From 1993 to 2004 he wrote a syndicated column on investing for the Washington Post. He was also the first investing columnist for Reader's Digest and now writes a monthly column for Kiplinger's Personal Finance. From 2008 to 2009 he was the U.S. Under Secretary of State for Public Diplomacy and Public Affairs and is currently executive director of the George W Bush Institute, the nonpartisan think tank affiliated with the George W Bush Presidential Center. Glassman is also the host of Ideas in Action, broadcast over more than 100 public television stations. He is the author of two previous books, Dow 36,000 and The Secret Code of Superior Investor; and  his articles have appeared in many publications, including The New York Times and The Wall Street Journal

Table of Contents

Introduction

A Margin of Safety for the Risk-Averse Investor 1

1 The World is Changing 29

2 What to do: The strategy 57

3 What to do: Stocks 77

4 What to do: Bonds and More 115

5 The New Rulebook 137

6 Stress-Test Your Portfolio 171

Acknowledgments 189

Index 191

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