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『英文書』Ten Trillion Dollar Gamble 万亿美元的赌博

書城自編碼: 1734005
分類: 簡體書→原版英文書
作 者: Russ
國際書號(ISBN): 9780071753579
出版社: McGraw-Hill
出版日期: 2011-03-01
版次: 1 印次: 1
頁數/字數: 253/
書度/開本: 16开 釘裝: 精装

售價:NT$ 1473

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內容簡介:
The next financial disaster is around the
corner.Are you prepared?
With the nation’s deficit expanding into the
trillions of dollars, investors need to be prepared for the
inevitable—and potentially devastating—fallout. Most economists
agree that interest rates will rise, inflation will likely be
higher, and virtually every aspect of our economy will be affected.
Smart investors need to ask themselves: How should I invest today
to survive the storm tomorrow?
The answer is in this brilliantly
calculated,forward-thinking investment guide from Black-Rock
strategist Russ oesterich. He’ll show you exactly what to expect in
the new deficit economy—and how to handle your finances
smartly,safely, and securely . . .Stocks and Bonds: How to Invest
in a Rising Rate Environment Real Estate: How the Deficit Will
Affect the Market Commodities: The Benefits of Owning Real Assets
Portfolio Management: What You Should Do Before It’s Too Late More
than a collection of fascinating financial predictions, The Ten
Trillion Dollar Gamble offers solid advice on a wide range of
investment options. You’ll discover which markets are hot—and which
are not—when the storm finally hits.
You’ll find out if Treasury bonds are right for
youand why commodities will be even more important in the future.
You’ll learn the best ways to invest in real estate, how to handle
your growing debt, and how to manage higher interest rates
for
everything from mortgages to savings accounts.
Most important, you’ll be able to apply these
professional insights into building a stronger portfolio for you
and your family.
Just because the government is gambling with our
future doesn’t mean you should. The Ten Trillion Dollar Gamble
offers a winning game plan to help you protect and build your
wealth for the long term.
When the next storm hits, you won’t just
survive, you’ll thrive.
關於作者:
Russ Koesterich is Global Head of Investment Strategy for
BlackRock Scientific Active Equities. He previously served as
Senior Portfolio Manager in the US Market Neutral Group for
Barclays Global Investors. Koesterich is the author of The ETF
Strategist.
目錄
ACKNOWLEDGMENTS
INTRODUCTION
CHAPTER 1 WHY WORRY ABOUT THE DEFICIT?
CHAPTER 2 WHY THE DEFICIT WILL MATTER TO YOU
CHAPTER 3 WHAT TO WATCH AND WHEN TO ACT
CHAPTER 4 How TO MANAGE YOUR CASH AND DEBTS
CHAPTER 5 BONDS: HOW TO MAKE MONEY IN A RISING INTEREST RATE
ENVIRONMENT
CHAPTER 6 STOCKS: HOW TO MAKE MONEY WHEN GROWTH IS SLOWER AND RATES
ARE HIGHER
CHAPTER 7 COMMODITIES:THE BENEFITS OF OWNING REAL ASSETS
CHAPTER 8 REAL ESTATE AND DEFICITS
CHAPTER 9 BUILDING PORTFOLIOS IN AN ERA OF FINANCIAL
TURBULENCE
CHAPTER 10 IS IT TOO LATE?
NOTES
INDEX

 

 

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