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Foreword xii Preface xvii Introduction: The Above-Average Opportunity xxi Chapter 1: The Buy-and-Hold Connection: Investing Fundamentals, Courtesy of the American Homeowner, the American Dream-or Reality? 1 Chapter 2: Leaping the Transaction-Cost Hurdle: Sometimes It's Easy, Other Times It's Not 19 Chapter 3: Dressing Appropriately for the Stock Market: The Potential Payoffs of a Switching Strategy 31 Chapter 4: Catch Elasticity If You Can: An Introduction to Industry Behavior 47 Chapter 5: Putting High-Beta to Work: Industry-Based Portfolio Strategies 67 Chapter 6: California Is a Country: An Introduction to the Location Effect 83 Chapter 7: …And France Is a State: How to Invest Internationally in the Age of Globalization 99 Chapter 8: Pipelines to Our Investment Returns: How We Get What We Want, in the Amount We Want, and When We Want It 113 Chapter 9: Who Are You? Investor Profiles and the Case for Asset Allocation 131 Chapter 10: Your Benchmark Portfolio. . .and Beyond 145 Chapter 11: Turning Smoke into Signals: How to Make the Most Out of Price Data 157 Chapter 12: Making Hay While the Sun Shines: The Case for Predicting, Forecasting, and Timing 173 Chapter 13: The Fight Is On: How to Invest Properly Relative to Regulations, Inflation, and Taxation 195 Chapter 14: Ending the Never-Ending Debate: Active vs. Passive Investing and Why You Can Take Both Sides 217 Chapter 15: A Rational Walk Down Wall Street: Darting Between Passive and Active When the Odds Are in Your Favor 233 Chapter 16: Alpha Bets: The Case for Hedge Funds and a Greek Letter You'll Want in Your Portfolio 247 Chapter 17: Tilting Toward Success: A Step-by-Step Guide to Above-Average Asset Allocation 265 Index 291