Risk and Reward: How to handle market volatility and build long-term wealth
Publisher,Harriman House
Publication Date,
Format, Paperback
Weight, 360 g
No. of Pages, 224
Shelf: PROFESSIONAL BOOKS / FINANCE & INVESTMENT / INVESTMENTS (GENERAL)
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Let me tell you the secret to investing. There is no secret...
When investing your hard-earned money, risk and reward are attached at the hip. There are no shortcuts. Getting rich overnight is a pipe dream.
Author, podcast host, and Director of Institutional Asset Management at Ritholtz Wealth Management Ben Carlson CFA, offers a modern guide to surviving and thriving in the markets by taking a wrecking ball to his own investment philosophy to truly examine the good, the bad and the ugly.
Carlson contextualises the biggest risks of long-term investing by analysing key moments in global financial history. He examines everything from the Great Depression and its aftermath in the 1930s to the Japanese financial bubble of the 1980s, to the bursting of the dot-com bubble in the 2000s, and considers what modern investors can learn from these events to apply to their future trading strategies.
Part practical manual, part economic history, Risk & Reward will give you a better grasp of the biggest risks in investing and teach you how to protect yourself against them so you can survive the short-term, and thrive in the long-term.
Whether you’re a first-time saver or a lifelong investor, this book will change how you see risk – not as something to fear, but as the very reason reward exists.
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Ben Carlson (Author)
Ben Carlson, CFA is the Director of Institutional Asset Management at Ritholtz Wealth Management. He has spent his career working with various nonprofit, institutional and high net worth clients to help them plan and invest their money wisely. He is the author of five books, the author of the blog A Wealth of Common Sense and co-host of the popular Animal Spirits podcast.