
Broken Pie Chart
Description
Alles über E-Books | Antworten auf Fragen rund um E-Books, Kopierschutz und Dateiformate finden Sie in unserem Info- & Hilfebereich.
Derek Moore explains why traditional risk-spreading leads to losses during sell-off periods, and contains risks that many investors do not recognize until it is too late. He also reflects on the changes in the financial market since the global financial crisis, and how these changes may affect your asset allocation and risk management decision-making in a landscape of lower rates and higher risks.
With this work, readers can take a fresh look at their portfolios by identifying the emerging asset classes that will lead to investment success, using effective financial strategies to enhance their position, and placing smart floors, hedges and buffers to minimize risk.
Reviews / Votes
Moore, who helps individual investors build portfolios to deal with various market conditions, contends that traditional asset allocations in investing may fail in the future and describes the need for new asset classes to modernize the investment pie chart to withstand risky markets. He explains why bonds' past performance can't predict future results, misunderstandings about target date funds, why diversification fails, the need for strategies that generate returns in sideways and bear markets, the consequences of current economic conditions, the importance of sequence of returns, strategies that can input a hard floor below the market to hedge risk, short volatility as a small piece in new portfolios, synthetic options, and risk-adjusted returns. -- Annotation (c)2018 * (protoview.com) * "While classic asset allocations and portfolio management may prove successful over multiple decades, many investors with shorter windows to build wealth are often left unprotected. Investors fear no more as Derek Moore takes portfolio analysis to a new level and delivers five ways to simplify yet protect your hard-earned investments in risky markets no matter when they occur! A must read for anyone with the desire to create wealth in the financial markets." -- Bennett A. McDowell "Derek Moore's refreshing Broken Pie Chart challenges the common perception of asset allocation. It shows you how to add value to reduce risk and tailor a program to truly diversify your portfolio based on your risk profile rather than on an assumed universal allocation strategy. The concepts introduced in this book are thought-provoking. A must read." -- Michael C. Thomsett "Broken Pie Chart challenges conventional wisdom with persuasive results." -- Jonathan Hoenig "With equity market exuberance firing on all cylinders, Derek Moore offers a much needed reminder that the stock market can have years, or even decades, of stagnant returns. Further, Moore's new book Broken Pie Chart lays out the ground work to comprehending the reality of conventional portfolio allocation and serves up a handful of well-supported ideas on how investors can combat the feast or famine nature of stock market investing." -- Carley Garner "With interest rates at all-time lows and the memory of 2008 fresh in investors minds Broken Pie Chart lays out the case for why the traditional mix of stocks and bonds may not deliver in the coming decades." -- Jay PestrichelliMore details
Person
As Director at ZEGA Financial, he spoke around the country to educate advisors on risk management and alternative strategies. Derek was also the Director of National Education for TD Ameritrade. There he founded a client education program and delivered presentations to large and small groups nationwide.
Derek has completed four full Ironman Triathlons. He resides in Scottsdale, AZ.
Content
Chapter 2. Why Bonds Past Performance Can't Equal Future Results
Chapter 3. Target Date Funds Surprise
Chapter 4. Why Diversification Fails In Market Selloffs
Chapter 5. What If We Go Sideways Or Down?
Chapter 6. This Time Is Different?
Chapter 7. Why Sequence Of Returns Matter For Your Retirement
Chapter 8. Alternative Solutions And Hard Floors For Portfolios
Chapter 9. Volatility Is An Emerging Asset Class
Chapter 10. Synthetics To Build Positions With A Seat Belt
Chapter 11. Risk Adjusted Returns Matter
System requirements
File format: PDF
Copy-Protection: Adobe-DRM (Digital Rights Management)
System requirements:
- Computer (Windows; MacOS X; Linux): Install the free reader Adobe Digital Editions prior to download (see eBook Help).
- Tablet/smartphone (Android; iOS): Install the free app Adobe Digital Editions or the app PocketBook before downloading (see eBook Help).
- E-reader: Bookeen, Kobo, Pocketbook, Sony, Tolino and many more (only limited: Kindle).
The file format PDF always displays a book page identically on any hardware. This makes PDF suitable for complex layouts such as those used in textbooks and reference books (images, tables, columns, footnotes). Unfortunately, on the small screens of e-readers or smartphones, PDFs are rather annoying, requiring too much scrolling.
This eBook uses Adobe-DRM, a „hard” copy protection. If the necessary requirements are not met, unfortunately you will not be able to open the eBook. You will therefore need to prepare your reading hardware before downloading.
Please note: We strongly recommend that you authorise using your personal Adobe ID after installation of any reading software.
For more information, see our eBook Help page.