Book Details
Format
Paperback
Pages
288
Language
English
Published
Mar 1, 2000
Publisher
Harper Paperbacks
Edition
Reprint
ISBN-10
088730883X
ISBN-13
9780887308833
Description
John McCarty and Michael B. O'Higgins present a compelling guide for investors looking to secure high returns while minimizing risk, especially during tumultuous market conditions. Drawing from O'Higgins' extensive experience as a leading money manager, the authors outline an innovative strategy that emphasizes the importance of bonds in a diversified investment portfolio. By detailing the mechanics of how bonds can outperform traditional stock investments, they provide readers with a practical framework that is as actionable as it is insightful.
Throughout the narrative, McCarty and O'Higgins challenge conventional wisdom about stock investments, particularly in uncertain times. They delve into data and case studies that illustrate the effectiveness of their approach, equipping readers with the knowledge to make informed decisions. Their strategic perspective not only appeals to seasoned investors but also offers newcomers a solid foundation for understanding the complexities of the financial market, ultimately empowering them to achieve their investment goals.
Throughout the narrative, McCarty and O'Higgins challenge conventional wisdom about stock investments, particularly in uncertain times. They delve into data and case studies that illustrate the effectiveness of their approach, equipping readers with the knowledge to make informed decisions. Their strategic perspective not only appeals to seasoned investors but also offers newcomers a solid foundation for understanding the complexities of the financial market, ultimately empowering them to achieve their investment goals.
Genres
Business & Economics