Martin Truax and Ron Miller are financial professionals, who unlike others in this field, have made money in today's volatile market. While stock markets have been down fifty percent, they've managed to be up seventy percent. This book clearly explains the highly successful portfolio management system used by the authors to protect their clients' wealth as well as garner substantial gains-by participating in profitable market opportunities when they occur.
Divided into several informative and engaging sections, The Evergreen Portfolio reveals how you can use hedges to protect the long portion of your portfolio when the market starts to go down. It covers the tactical and technical methodologies needed to protect and grow your assets at a time when many investors are getting wiped out.
- Discusses the keys to succeeding in today's market, including the best ways to invest in gold, diversify with foreign currency, and much more
- Contains insights from top minds in the market such as Mark Skousen and Bob Precther
- Offers an effective solution to the investment and retirement problems we all now face
Written with the serious investor in mind, The Evergreen Portfolio reveals one of the best ways to protect and grow your money in a turbulent financial environment.
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About the Author
RON MILLER is a Managing Director at Morgan Keegan & Co. and codirector of the Investment Planning & Management Group in Atlanta. A former senior portfolio management director at Salomon Smith Barney, where he twice received their Portfolio Management Group's Portfolio Performance Award for the top performance among the firm's Portfolio Management Group. Mr. Miller is an advocate for his flexible portfolio method of risk management for volatile financial markets.
Table of Contents
Chapter 1 The Evergreen Portfolio: The Big Picture Martin Truax 1
Chapter 2 How Did We Get into This Mess? And What is the Best Way Out? Gary Alexander 17
Chapter 3 Know the Signs of the Times Mark Skousen 31
Chapter 4 How Fed Policy Fuels Market Cycles Gary Alexander 43
Chapter 5 Investing and Hedging Strategies for a Topsy-Turvy Financial World H. Ronald Miller 57
Chapter 6 Conquer the Crash, Condensed Robert Prechter 111
Chapter 7 The Gone Fishin' Portfolio Alexander Green 129
Chapter 8 How You Can Profit from Chaostan Richard Maybury 155
Chapter 9 The New Global Investing Strategy Adrian Day 173
Chapter 10 High-Yield Investing in the Shadow of the Big W Roger S. Conrad 187
Chapter 11 The Case for Growth Elliott H. Gue 197
Chapter 12 Gold Facts Duane Poliquin 217
Chapter 13 The Rare Coin Market: Understanding How It Works Van Simmons David Hall 231
Chapter 14 Other Currencies versus the Dollar Frank Trotter 237
Chapter 15 The 2010 Estate Tax Law: Here to Stay or Going Away? Gary Kashdan 255
Epilogue: The Truth about Deficits, Debts, Deleveraging, Deflation, and Derivatives 263
About the Authors 275
About the Contributors 277