The Market Masters

kirk Kazanjian

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Twenty leading money minds reveal how to prosper in today's volatile markets What strategies have made Wall Street's top investors so successful? What are their biggest mistakes and proudest accomplishments? How do they invest their own money? And what are the keys to finding the best stocks and bonds? This enlightening book features one--on--one interviews with 20 of the world's leading mutual fund managers representing a variety of different styles--from growth gurus, value masters, bond wizards, and international globetrotters to specialists in such market sectors as technology, healthcare, financial services, and real estate.

All have demonstrated track records that consistently outperform the competition. These managers speak frankly about their strategies for beating the market in good times and bad, along with their predictions for the future and exclusive lists of favorite investments for the coming years. Kirk Kazanjian (Mountain View, CA) is an experienced investment and personal finance author. He has written more than 20 books, including Wizards of Wall Street and Value Investing with the Masters.

Kazanjian is a former award--winning television news anchor and business reporter whose stories appeared on CNN and ABC stations across the country. In addition to running his own investment company, he was an executive at several leading financial firms, including American Century Investments. He is regularly interviewed by CNBC, CNNfn, and Bloomberg, and has been featured in numerous business and investment publications.

What will you learn from this book

  1. Adaptability: Successful investors likely emphasize the need to adapt investment strategies to different market conditions, whether bullish or bearish.

  2. Risk Management: Discusses risk mitigation strategies and approaches for protecting capital during market downturns or volatility.

  3. Value Investing: Explores the principles of value investing, focusing on finding undervalued assets or companies with strong fundamentals.

  4. Market Timing: Debates the challenges and considerations of market timing, understanding that attempting to predict market movements can be difficult.

  5. Diversification: Emphasizes the importance of diversifying portfolios across various asset classes to spread risk and enhance long-term returns.

  6. Fundamental Analysis: Discusses the analysis of company fundamentals, financial statements, and industry trends to make informed investment decisions.

  7. Technical Analysis: Explores technical indicators and chart patterns used by some investors to analyze market trends and predict price movements.

  8. Long-Term Perspective: Encourages maintaining a long-term investment horizon and avoiding reactionary decisions based on short-term market fluctuations.

  9. Market Psychology: Addresses behavioral aspects of investing, understanding investor emotions, and making rational decisions amid market volatility.

  10. Continuous Learning: Emphasizes the value of ongoing education, learning from successful investors, and staying updated on market trends.

Language English
ISBN-10 0471698652
ISBN-13 9780471698654
No of pages 278
Font Size Medium
Book Publisher John Wiley & Sons
Published Date 24 May 2005

About Author

Author : kirk Kazanjian

1 Books

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