About This Book
What Does This Book Cover?
In this applied investment book, we introduce the risk-return tradeoff of financial investments as well as stocks and bonds investing in the US and global markets over the 2002–2016 time period. Stocks have produced higher rates of return relative to risk in global markets than US markets. We report why intelligent investors prefer more stocks than bonds to maximize stockholder wealth. The bulk of this book is concerned with demonstrating how individuals, whether students or real-world investors, can select stocks and create portfolios to maximize expected returns for a given level of risk. The authors do not believe in completely Efficient Markets, and we show how to outperform the markets by using ...
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