ISBN-13: 9780071409384 / Angielski / Miękka / 2003 / 204 str.
Meant for investors, the methods for minimizing risk and over-exposure offered in this book include: a quick course in investing and finance; guidelines for analyzing financial statements; rules for Enron-proofing a portfolio through diversification; techniques for valuing a company and its stock; and ways to manage downside risk.